BP> Adjustments
Reverse a Transaction
Summary
Once charges have been generated or payments have been processed, these transactions can be adjusted in the Building Permits module using the Adjustments process (BP> Adjustments).
The Adjustments process also allows you to enter adjustments on BP module accounts. This allows you to enter adjustments before transactions have been recorded or a permit has even been created.
Follow this process to create a reversal adjustment.
Related Links
Click here for information on committing an adjustments batch.
Step by Step
2 Generate the adjustments batch.
- Open the Generate window (BT> Adjustments> Generate).
- The Generate step is used to select which business accounts will be included in the Adjustments batch. After the Adjustments batch has been generated, the Edit step allows you to remove individual business accounts from the Adjustments batch. After the Adjustments batch has been generated, returning to the Generate step and regenerating the batch will overwrite the business accounts already included in the batch.
- The Settings section of the Generate window allows you to filter the businesses that are included in the batch.
- The Tax Type field is used to select which tax types will be included in the batch. By default none of the toggles are checked.
- The Status field is used to select which statuses are included in the batch. By default all of the toggles are selected.
- The Balance Type drop-down menu is used to select the balance types to include in the batch.
- Select All to include all balance types in the batch.
- Select Credits to include only credits in the batch.
- Select Returns and Penalties to include only returns and penalties in the batch.
- The Maximum Balance field is used to limit the accounts included in the batch by maximum balance. This field has a $1,000,000 limit.
- The Tran Date From and Tran Date To fields are used to filter the accounts that will be included in the batch by transaction date.
- The Tran Date field is used to select the transaction date of the adjustment. This field will populate with the current date.
- Click the Confirm icon
to generate the adjustments.
4 Select and reverse the transaction.
- The following window will display all of the CreditCash, Payment or Penalty transactions that can be reversed.
- You cannot reverse a transaction that has other pending transactions associated with it or a transaction that has already been reversed.
- Highlight the desired transaction and click the Next button.
- The following window will display the reversal details.
- Click the Add button if you would like to attach a penalty fee to the account while reversing a transaction. This is often used when assessing an NSF (Non-Sufficient Funds) penalty while reversing a payment transaction.
- Click the Finish button to close the Adjustment Wizard and return to the Select Adjustments window.
5 Commit the adjustments batch.
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