Summary
You need to set up the UB module before using the Refunds process (UB> Refunds). For most organizations, this means creating an adjustment type code that will determine the journal entry created by the refund check. After creating the refunds adjustment type, attach it to the Setup window (UB> Utilities> Setup).
If you will factor interest on deposits in the Refunds process, you will also need to create a fee code titled INT, and add interest rates to all of the deposit fee codes you would like to factor interest on.
Related Links
Click here for information on processing a Refunds batch.
Step by Step
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Debit |
Credit |
AR account attached to service rate |
XXX |
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Cash account attached to service rate |
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Description |
Debit |
Credit |
AR account attached to service rate |
XXX |
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Revenue account attached to service rate |
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XXX |
Description |
Debit |
Credit |
Revenue account on INT fee code |
XXX |
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Cash account on INT fee code |
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XXX |
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