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        Batch Distribution
        The process of moving the transactions within a billing batch to the 
 student ledgers is called Distributing. Prior to distributing batches, 
 you will wish to print an edit list. The edit list displays all transactions 
 in the batch, providing you with the opportunity to make changes as necessary 
 before distributing to the student ledgers.
        To distribute a batch:
        
            - Open the Billing Batch window by clicking Billing 
	 >Batch.
 
            - Determine which batch will be distributed 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. Use this edit list to proof the entries made to the 
	 batch.
 
            - Return to the batch listing by clicking the Batches tab.
 
            - Provided you are satisfied with the batch entries, 
	 click Distribute. Notice that 
	 the Batch Name and Comment (description) are automatically populated 
	 based on entries previously made.
 
            - If you choose to distribute the transactions of a 
	 single student rather than the entire batch, select that student (optional).
 
            - Select term of the transactions you wish to distribute. 
	 For instance, you may have transactions for two terms in the Registration 
	 Batch, but only wish to distribute current term transactions to the 
	 Student Ledger. In this case you would simply enter the current term 
	 (optional). Leaving this field blank will result in transactions of 
	 all terms being distributed.
 
            - Use the Distribute 
	 to Transaction Date field to indicate the effective ledger 
	 date for the transactions being distributed (optional). If you leave 
	 this field blank, the original transaction date will be the effective 
	 ledger date.
 
            - Select a Campus 
	 to distribute transactions only for students in that Campus (optional). 
	 If selecting a campus, the Distribute 
	 in Term field is also required. Students must have the selected 
	 Campus and Term in a Registration Status record to distribute the 
	 transactions.
 
            - Select one or more AR 
	 Type(s) to distribute only transactions with those AR Types.
 
            - Click Distribute. 
	 You will be prompted to confirm the batch distribution. This is your 
	 last chance to cancel the process. Once "OK" is selected 
	 the data is immediately updated to the student records. All transactions 
	 will now appear in their appropriate ledgers.
 
            - Click OK to 
	 confirm the distribution of the batch or Cancel to discontinue the 
	 process. All transactions will now appear in their appropriate ledgers.
 
        
        
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