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        Generate Billing Refunds
        Use this feature to create refund transactions for students with credit 
 balances on their accounts. The process will create a billing batch to 
 be reviewed and posted to the student ledgers.
        
            - Click Tools >Processes 
	 >Billing Module >Billing Processes to open the Tools 
	 Billing Process Options window.
 
            - Click the Refunds 
	 tab.
 
            - Choose the Refund 
	 Transaction Term. The term value includes the running balance 
	 of all transactions up to and including that term.
 
            - Define the Refund 
	 Transaction Doc to be generated; since 1) this will zero-out 
	 the student’s credit balance, this should be a Debit Transaction Type 
	 and 2) since it will be used in order to generate a check in your 
	 accounting program, it should be defined with a "Y" definition 
	 in the Accounts Payable field.
 
            - Determine if balances should be evaluated on a Term 
	 basis or Overall basis. Choose Term to evaluate based on a running 
	 balance up to the Term selected; choose Overall to evaluate based 
	 on all terms, even those beyond the Term selected.
 
            - (Optional) If you want to work with student accounts 
	 from a specific campus, identify that Campus from the drop-down list.
 
            - Select whether or not you wish to include Batch Transactions.
 
            - (Optional) Select Billing categories in Exclude 
	 Students in Categories; students with these Billing categories 
	 will not be identified for refunds.
 
            - (Optional) To use the TransDoc Description for all 
	 refund transactions in this process, place a check in Use 
	 Transdoc Description. Leave this unchecked to automatically 
	 use "Student Refund" as the description for all refund transactions 
	 regardless of the Description entered in the TransDoc.
 
            - Enter the Refund Transaction Date to be used for the 
	 refund transactions that are created.
 
            - (Optional) Select an Ext. Document from the Refund Extended Doc. field; this 
	 lookup value defines the nature of the transaction and provides a 
	 user-defined flag for check writing purposes.
 
            - (Optional) If you only wish to work with students 
	 registered in a specific Term, identify that Term.
 
        
        Note: If Include Student Registered in Term 
 is not populated AND Include Only Students 
 in Campus is populated, CAMS will determine the Campus from the 
 latest Student Status record.
        
            - Indicate whether you will include Non-Ledger transactions, 
	 which reside on the students Non-Billing tab in the student ledger.
 
            - Select whether or not to Include 
	 Pending Financial Aid. Including Pending Financial Aid will 
	 use any transactions in the Student's Financial Aid Maintenance that 
	 have not been sent to Billing when calculating refunds.
 
            - Define the Direct 
	 Deposit Refund Transdoc to be generated. This field will only 
	 be available if you are utilizing Direct 
	 Deposit and the Enable Bank Interface 
	 is enabled in CAMS Manager 
	 >Configuration >Billing tab. This TransDoc will be used 
	 for refund transactions where students have been set up as Direct 
	 Deposit and can be the same or different TransDoc as used in the Refund Transaction Doc field. Since 
	 1) this will zero-out the student’s credit balance, this should be 
	 a Debit Transaction Type and 2) since it will be used in order to 
	 generate a check in your accounting program, it should be defined 
	 with a "Y" definition in the Accounts Payable field.
 
        
        Note: Direct Deposit 
 and the Enable Bank Interface 
 functionality works directly with Herring Bank. You must first contact 
 Unit4 Education Solutions, Inc. and then your bank in order to have everything 
 configured correctly on your site prior to enabling the Bank Interface.
        
            - Click the Process 
	 button to immediately generate the transactions in a Billing Batch. 
	 Access the newly created batch in the Billing Batch window to view, 
	 edit and distribute refunds to student ledgers.
 
        
        
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