SS> Maintenance> Associate Reimbursements

Associate Reimbursements

 

Summary

 

The Springbrook reimbursements process is used to associate GL cash accounts with specific bank accounts for multibank checking.

 

Related Links

 

Click here for information on Bank Maintenance.

Click here for information on Account Header One Maintenance.

 

Step by Step

 

1     Open the Associate Reimbursement Bank Accounts window.  

 

  • The Associate Reimbursement Bank Accounts window (SS> Maintenance> Associate Reimbursements) displays all of the bank accounts set up in the application.
    • Click and drag any of the column headers to the area above the data grid organize the displayed accounts by that header.
  • Click the Bank Acct Code field label to select a bank account code from a list. This is the bank account that will be associated with the accounts in the fund selected below.
  • Click the Fund field label to select a fund from a list. This is the fund that will be associated with the account selected above.
  • Select the Fiscal Year you would like to display.
    • This will default to the current fiscal year.

 

2     Associate the reimbursement accounts.  

 

  • Click the Generate icon to associate the selected bank account code with the selected fund. All of the accounts in the specified Fund will be associated with the specified Bank Account Code. The Bank Code column will update to reflect this new association.
    • Click the Bank Code column on an individual account to edit or delete the Bank Account Code association. You can also click the Refresh icon to remove the associated bank account from all of the accounts in the selected fund.
  • Click the Save icon when complete.
  • When you create a new fiscal year in GL> Utilities> Create New Fiscal Year, the banks that were attached to the current fiscal year will be copied to the new general ledger accounts.