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        Direct Deposit List
        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.
        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.
        To retrieve the Direct Deposit List
        The first step in the Direct Deposit process is to retrieve the direct 
 deposit list from the bank. This process will set the students in the 
 bank’s list as Direct Deposit in CAMS Enterprise.
        
            - Click Tools >Processes 
	 >Billing Module >Direct Deposit List to open the Direct 
	 Deposit List window.
 
            - On the Initiate 
	 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. 
	 CAMS Enterprise will connect to your banks FTP site to retrieve the 
	 direct deposit list. The Records 
	 tab displays with the results.
 
            - The Records to be 
	 imported grid lists those students who are authorized for direct 
	 deposit with the bank. The Records 
	 that cannot be imported grid displays those students that have 
	 some issue with their setup such as an incorrect account number; you 
	 must contact your banking institution to resolve these issues. You 
	 can continue with this process at this time and run the process again 
	 after resolving the issues for the records that cannot be imported.
 
            - After reviewing the list of students, on the Update tab, click Import.
 
            - A pop-up will display indicating that this will mark 
	 the students listed in the Records 
	 to be imported grid on the Records tab as Direct Deposit in 
	 the Student table. All other students in the Student table will be 
	 unmarked as Direct Deposit thus keeping the direct deposit list up 
	 to date with your banking institution.
 
            - Click Yes 
	 to continue processing or No 
	 to cancel this action.