Menu Path: From Billing & Receipts, select Miscellaneous Billing, select Financial Transactions, and then select Batch Payment Adjustments.
Use the Batch Payment Adjustments page to create a batch of adjustments to adjust the payment amount on several receipts during the same session.
The following item displays on the action bar:
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Post Payment Adjustment
Create Payment Adjustment Batches
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Click Add New.
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Enter the Receipt Number, Adjustment Date, and Comment fields as needed. The Control Number defaults to the next available number.
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Click OK. The system creates a reference number for each adjustment, which is prefixed by the letters PA (Payment Adjustment), as well as a control number for the batch. For example, PA00000001.
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Correct the Amount Received field in the New Receipt Amount column if needed.
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Distribute the new payment amount:
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For manual distribution, click OK, and enter the amounts in the New Amount section for each item.
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For automatic distribution, click Auto Apply.
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Click Actions on the action bar, then choose Post Payment Adjustment to post the payment adjustment.
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Repeat Steps 4-6 for each payment adjustment you want to add to the batch.
Use the same Control Number for each adjustment to keep them all in the desired batch.
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When finished, click Back.
Generate Batch Payment Adjustments Reports
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Enter criteria identifying the records, then click Find. To run an advanced search, click Advanced.
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Click Print.
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Specify how you want to generate the report, then click OK. The report's default file name is mradjpay.rpt.