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        Billing Batch Direct Deposit
        With Direct Deposit, institutions can deposit funds directly into students’ 
 accounts for those students who have an overall credit balance on their 
 account eliminating the need to write and distribute a check to the student.
        Once the Direct Deposit List function in Tools has been ran to retrieve 
 the list of students who have been set up for direct deposit, you can 
 run the Generate Billing Refunds process in Tools to create a billing 
 batch with refund transactions. From Billing Batch you can post the refund 
 transactions to the bank and retrieve a direct deposit response file confirming 
 the deposits. Enable Bank Interface 
 must be enabled in CAMS 
 Manager >Configuration >Billing tab.
        You must first contact Unit4 Education Solutions, Inc., and then your bank 
 in order to have everything configured correctly on your site.
        After first retrieving the Direct 
 Deposit List from the bank, you will then create refund transactions 
 either manually or by utilizing the Billing 
 Refund process.
        To Post Direct Deposit
        After generating refunds for Direct Deposit students, the funds can 
 be deposited in the students’ accounts directly from the Billing Batch.
        
            - From the CAMS Enterprise 
	 Home page, click Billing >Batch. 
	 The Billing Batch window opens.
 
            - Determine which batch will be posted to direct deposit 
	 and highlight that batch in the data grid. It is highly recommended 
	 that you first print an edit list to verify the accuracy of the batch 
	 entries. Do so by clicking the Print 
	 button in the Billing Batch window.
 
            - Click the Post Direct 
	 Dep button to send the direct deposits to your bank’s FTP site. 
	 Click Yes on the confirmation 
	 pop-up or No to cancel this 
	 action. Only students with direct deposit and debit transactions will 
	 be sent.
 
        
        Note: The Post Direct Dep and Direct 
 Dep Resp buttons will only be available if the Enable 
 Bank Interface has been enabled in CAMS Manager >Configuration 
 >Billing tab.
        
            - Click OK on 
	 the confirmation that the direct deposit was sent to the bank. The 
	 Billing Batch Direct Deposit List report displays. It is recommended 
	 that you print or export this report for future reference. You cannot 
	 post direct deposit transactions multiple times. If a user tries to 
	 post a batch a second time a pop-up message indicates there is nothing 
	 to post.
 
            - The batch should not be distributed to the student 
	 ledger until the Direct Deposit Response has been processed.
 
        
        Note: Do not post 
 another direct deposit until you process the Direct Deposit Response for 
 the previous post. This will avoid overwriting the direct deposit response 
 file placed in your directory on the banks FTP site.
        To retrieve Direct Deposit Response
        After the bank processes the direct deposit, a comma delimited file 
 is placed in your directory on the banks FTP site. This is an automated 
 process from the bank and typically happens within a short period. This 
 file is necessary to process the Direct Deposit Response.
        
            - From the CAMS Enterprise Home page, click Billing 
	 >Batch. The Billing Batch window opens.
 
            - Click the Direct 
	 Dep Resp button. The Direct Deposit Response login/detail window 
	 opens.
 
        
        Note: The Post Direct Dep and Direct 
 Dep Resp buttons will only be available if the Enable 
 Bank Interface has been enabled in CAMS Manager >Configuration 
 >Billing tab.
        
            - Enter the values as provided by your banking institution. 
	 Once entered, these values will be retained between sessions. Note 
	 that the Remote Directory 
	 field must have the trailing backslash ( \ ) at the end.
 
            - Click Initiate. 
	 The Direct Deposit Response report displays with a response (Y or 
	 N) to indicate whether the transaction was deposited successfully 
	 into the students’ accounts. It is recommended that you print or export 
	 this report for future reference.
 
            - Close the report window. A pop-up displays with the 
	 option to delete the Billing Batch transactions where Direct Deposit 
	 failed. If you choose not to delete the failed transactions, you must 
	 deal with these refunds in a manner other than the Direct Deposit 
	 such as write and distribute a check for these transactions as you 
	 normally would. If you choose to delete the failed transactions, the 
	 student will still have a credit on their account, which you can refund 
	 manually or utilize the Generate Billing Refunds process in Tools 
	 to generate the refund.
 
            - After the Direct Deposit Response has been confirmed, 
	 this batch can be distributed as desired.
 
        
        
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