SA> Maintenance> Maintain Assessments
Maintain Assessments
Summary
The Assessment Maintenance window is used to create and maintain special assessments.
Related Links
Click here for information on the SA Setup window.
Click here for information on Assessment Type Maintenance.
Click here for information on Assessment Status Maintenance.
Click here for information on Fee Maintenance.
Step by Step
1 View the existing assessments.
2 Create a new assessment.
- The General tab of the Assessment Maintenance window contains the general assessment details.
- The Assessment field will automatically update with the next available assessment number when the assessment is saved.
- The assessment number is composed of a prefix that is set up on the assessment type selected below and the next available numeric value. The number of digits that compose the second part of the assessment number is determined by the value in the Assessment Digits window on the SA Setup window (SA> Utilities> Setup). Click here for information on the SA Setup window.
- Select an Assessment Date from the drop-down menu.
- This field will default to today's date.
- Click the Assessment Type field label to base the new assessment on an assessment type template.
- By basing the new assessment on an assessment type, many of the required fields will be automatically populated with the details specified on the assessment type.
- The Assessment Type field will not be enabled for editing after the new assessment is saved.
- Assessment types are created and maintained on the Assessment Type Maintenance window (SA> Maintenance> Assessment Type). Click here for information on Assessment Type Maintenance.
- Click the Assessment Status field label to select an initial status for the new assessment.
- The assessments included in a Billing, Letters or Past Due batch can be filtered by the current assessment status.
- Assessment statues are created and maintained on the Assessment Status Maintenance window (SA> Maintenance> Assessment Status). Click here for information on Assessment Status Maintenance.
- This is a required field.
- Enter a Customer Number to associate with the assessment or click the field label to select one from a list.
- Enter a Lot Number or click the field label to select one from a list. Each assessment must be attached to a lot.
- Lots are created and maintained on the Lot Maintenance window (SS> Maintenance> Lot Master Search). Click here for information on Lot Maintenance.
- The Tax Lot and Service Address fields will automatically populate with the details associated with the selected lot.
- Enter an optional Assessment Description for the new assessment. This field will automatically populate with the contents of the Description field on the assessment type specified above.
- The description field can be included in customizable SA form letters (SA> Maintenance> Forms).
- This field can accommodate up to 512 characters.
- Click the Principal Fee Code field label to attach a principal fee to the assessment. This fee will determine which accounts receivable, revenue and cash accounts are used when financial transactions are generated against the principal on the assessment.
- If the Fee Selection window does not display any fees, you will need to create a Principal type fee before proceeding. Fee codes are created and maintained on the Fee Maintenance window (SA> Maintenance> Fee). Click here for information on Fee Maintenance.
- This is a required field.
- Click the Interest Fee Code field label to attach an interest fee to the assessment. This fee will determine which accounts receivable, revenue and cash accounts are used when financial transactions are generated against the interest on the assessment.
- If the Fee Selection window does not display any fees, you will need to create an Interest type fee before proceeding.
- This is a required field.
- Enter the Original Principal amount on the assessment.
- Once a billing batch including the new assessment has been committed the original principal cannot be changed.
- Enter an Interest Rate to specify the yearly rate of interest billed against the principal.
- This number is stated as a whole number percentage. For example, 7.5% would be entered as 7.5000, NOT 0.0750.
- Enter an Interest Begin Date to specify the date that interest on the assessment begins to accrue.
- The Last Interest Date for the assessment should reflect the last time interest was calculated and billed for this assessment (usually a date in the past).
- This date is NOT a future date reflecting the last day that interest will be calculated at the end of the assessment’s history. Security on this field should be limited as it is the field used to calculated interest totals for each month or period. If this date is set improperly, use the "None" button in the drop-down menu to remove the specified date.
- This date cannot be edited once the assessment has been included in a Billing batch.
- Enter the Grace Period (Days) to specify the number of days after the Interest Begin Date that interest is not charged.
- Once the Grace Period is over, interest on the first Billing batch will be calculated on the remaining balance of the Original Principal starting at the Interest Begin Date. If there is a value in Last Interest Date then the Grace Period is no longer active.
- Once the assessment is saved and a transaction history is established, the grace period cannot be edited.
- The grace period cannot exceed 30 days when the assessment is set up with a monthly billing cycle, 90 days for a quarterly billing cycle, 180 days for a semiannual billing cycle and 360 days for an annual billing cycle.
- Click the Billing Cycle field label to select the billing cycle that the new assessment will be included in. This is a required field.
- Use the Bill Method drop-down menu to specify how billed invoices will be calculated.
- Select Fixed Bill to keep the total bill amount constant on all billed invoices, with the ratio of principal and interest changing based on the amount of interest calculated.
- Select Fixed Principal to keep the principal amount the same on all billed invoices, with the interest amount (and total bill) subject to change depending on the number of days between billings.
- The Term (Month) field is used to set the length, in months, of the new assessment.
- This is a required field.
- The Bill Amount/Fixed Principal field will display the amount due in each billing cycle. The field label for this field is determined by the Bill Method selected above.
- The value in this field is calculated by the system based on the original principal amount, interest rate and terms.
- Check the Notification toggle to generate form letters for the customer attached to the assessment if the assessment is included in an SA Letters batch.
- Click the Attachments icon
to attach a document or file to the assessment. This icon is available from any of the assessment tabs.
- Click the Print icon
to print an SA module MS Word merge field document or to print assessment transaction history. This icon is available from any of the assessment tabs.
3 View the assessment's financial details.
- The Financial Summary section displays read-only financial data. This section will only update after financial transactions are recorded on the assessment.
Value |
Calculation |
Outstanding Principal |
Billed Principal + Adjustments to Principal |
Outstanding Interest |
Billed Interest + Adjustments to Interest |
Outstanding Penalty |
Billed Penalty + Adjustments to Penalty |
Total Outstanding |
Outstanding Principal + Outstanding Interest + Outstanding Penalty |
Payoff Principal |
Original Principal - Committed payments on Principal |
Payoff Interest |
(Original Principal - Outstanding Principal - Paid Principal) /
((Today's Date - Last Interest Date) / Interest Rate) + Outstanding Interest
|
Payoff Penalty |
Value in the Outstanding Penalty field |
Payoff Amount |
Payoff Principal + Payoff Interest + Payoff Penalty |
Unapplied Credits |
Total unapplied credits on the assessment |
Grace Period End |
Interest Begin Date + Grace Period Days |
4 Complete the Contact tab.
7 The History tab is used to track transactions on the assessment.
8 Complete the Miscellaneous tab.
- The Miscellaneous tab allows you to build your own tables of data if there is information you want to track. This information is optional and user-defined.
- Miscellaneous field labels are maintained on the Miscellaneous Field Label Maintenance window (SS> Utilities> Miscellaneous Field Labels). Click here for information on Miscellaneous Field Label Maintenance.
9 Complete the Evaluation tab.
10 Track any changes made to the assessment.
- Click the Audit Trail icon
to open the Audit Trail window.
- Use the Search Criteria section to sort the displayed audit history.
- The Audit Trail section will provide details about any changes made to the assessment record including the date of the change, type of change made, user that made the change, and data table that was edited.
- Click here for information on the Audit Trail window.
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