UB> Adjustments and Fees> Miscellaneous Billing
Miscellaneous Charges
Summary
The Miscellaneous Charges window is used to create a billing on all Active status UB
customer accounts within selected billing cycles using an adjustment type code. The billing will default to the flat amount attached to the fee codes of
the selected adjustment type, but you can modify the billing from the default amount.
If you would like to create a billing using a fee code rather than an adjustment
type code, create the billing in the Input Billing window (UB> Adjustments and
Fees> Input> Create icon> Select billing).
If there is a receipt or account alert set up on the adjustment type code used
to create the charge (UB>
Maintenance> Adjustment Type> Account alert or
Receipt alert toggles), the alert will be attached to the UB customer
accounts when the charges are committed. The alert windows will display when
either the account is opened (UB> Maintenance> Account) or a
receipt is entered (Cash Entry window). For example, if you are charging NSF
fees on customer accounts, you can add alerts to the NSF adjustment type code to
create an alert on the UB customer accounts processed in the batch. If you
process the billing using the Input Billing window (UB> Adjustments and Fees>
Input> Create icon> Select billing) instead of the Miscellaneous Charges
window, you will not be able to add alerts to the
customer accounts in the batch. The Input Billing window creates a billing using
a fee code and alerts are attached to adjustment types.
After the miscellaneous charges have been generated on UB customer accounts they will
display on billing statements the next time a New Billing batch (UB> New Billing) is run on the billing cycles included in the Miscellaneous Charges
process. The miscellaneous billing will create adjustment type transactions on the statements and UB customer accounts.
After the miscellaneous charges have been generated in the Miscellaneous Charges
window, you can delete or modify the charges on each UB customer account
using the Input step of the Adjustments and Fees process (UB> Adjustments and Fees> Input).
Related Links
Click here for information on adjustment type code maintenance.
Click here for information on creating Receipt and Account Alert windows.
Click here for information on the Jobs Viewer.
Step by Step
1 Create an Adjustments and Fees batch.
- If you generate miscellaneous charges on UB customer accounts using an open
Adjustments and Fees batch, the
existing transactions in the batch will be overwritten by the miscellaneous
charges.
- Select the Adjustments and Fees palette in UB> Adjustments and Fees.
This will expand the Adjustments and Fees palette and display the steps of
the Adjustments and Fees
process.
- Select New from the Adjustments and Fees batch number drop-down menu. This will open the New Batch window.
- Enter a Batch Month and Batch Year. These will default to the current calendar period
and year. The fiscal period the transactions in the batch are posted to is
determined by the Journal Entry date entered when creating the GL Distribution
report in UB> Adjustments and Fees> GL Distribution.
- Enter a Batch Number or click the Generate icon
to create a batch using the next available batch
number.
- The batch number is used to identify a specific batch within a batch month and batch year. They are limited
to five digits and must be unique with the batch month and year.
2 Create a miscellaneous charge.
3 Delete or modify the miscellaneous charges using
the Input step of the Adjustments and Fees palette.
- Open the Input and Display window (UB> Adjustments and Fees> Input). This window will display all of the charges
generated by the Miscellaneous Charges process.
- Select a charge and press DELETE to remove the charge from the UB customer account.
- Select a charge and press ENTER to modify the charge amount. This will open the Cash Receipt Maintenance window
and display the charge information.
- Modify the amount in the Amount column in the Details section to change the charge amount. Changing
the charge on one UB customer account will not affect the charges on the other
customer accounts in the batch.
- Click the Save icon
when complete.
4 Commit the Adjustments and Fees batch.
- Run the Proof List, GL Distribution, and then commit the batch.
- The Post Date of the transactions in the batch will be the current date when the Commit step is processed.
5 Bill the miscellaneous charges.
- Create a New Billing batch on the billing cycle that miscellaneous charges were applied to in UB> New Billing.
- When a New Billing is processed, the miscellaneous charges will display on the billing statements as adjustment
type transactions.
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