UB> Refunds

Refunds

 

Summary

 

The Refunds process is used to refund the credit balance and/or deposit amounts on UB customer accounts. Accounts that are in open (uncommitted) UB process batches (for example a New Billing batch) or Final account status cannot be processed in a Refunds batch. After customers have been processed in a UB Refunds batch the physical checks can be generated in your Accounts Payable department using the Proof List (UB> Refunds> Proof List) generated by the process.

 

The Generate step (UB> Refunds> Generate) is used to select the customer accounts and the balances to refund in the batch and set the transaction date of the refund transactions in the batch (UB> Refunds> Generate> Refund Date field). If you are processing multiple customer accounts in a Refunds batch, you can filter the customer accounts included in the batch by account status, deposit date, minimum credit amount, billing batch (New or Final Billing) and/or a specific fee code the account has been charged (for example, customer accounts that have been assessed Past Dues penalties). You can also filter the customer accounts by final date if you include Delete status accounts in the batch.

 

The Exceptions step is an optional step that displays the UB customer accounts that have been selected during the Generate step (UB> Refunds> Generate) but have not been included in the Refunds batch due to an error. A typical error that displays on the step is a customer account with a debit balance or a customer account being processed in an open batch. If the UB customer account is being processed in an open batch the batch number and process (for example, CR Cash Receipt batch number 00001-01-2019) will display on the Exceptions step.

 

The Select/Update step is used to select the customer accounts that will be included in the Refunds batch based on the accounts selected during the Generate step. This allows you to remove specific customer accounts from the Refunds batch. After the customer accounts have been selected and the Select/Update step has been saved, the uncommitted refund transactions will display on the customer accounts included in the Refunds batch.

 

The Proof List Report is generated after the customer accounts have been selected and is the report you will hand to the AP department so they can generate the refund checks.

 

The GL Distribution Report step is used to set the journal entry date of the journal entry generated by the Refunds batch and generate the GL Distribution Report.

 

Once the process is complete, the Commit step is used to commit the refund transactions on the UB customer accounts. The day the Commit step of the Refunds batch is completed is the post date of the transactions in the batch.

 

Related Links

 

Click here for information on the setting up the Refunds process.

Click here for information on the Jobs Viewer window.

 

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