Best practice to reverse these Transfers correctly is to use the Payment Batch Reversals Program. Navigate to General Revenues>Payment Processing>Payment To reverse a single or some Transfer of Overpayments, please use the following steps: - Navigate to General Revenues or Property Revenues > Payment Processing > Payment Reversals
- Click Add to create a batch.
- Enter the Processing Date, Effective Date, GL Effective Date, and GL Year/Period.
- Note: for more information about these dates please see: An Explanation of Payment Entry Dates and Accounts Receivable Activity Dates
- Click Accept.
- Click Search.
- Enter the Year, Cat, and Receipt number.
- Click Reverse in the top ribbon.
- Select a Reason Code.
- Click Accept.
- A message appears Note: Transfer Receipts in this Transaction may affect your selections.
- Click OK.
- Make sure both the Transfer To and Transfer From Receipts in the Transactions are selected.
- Click Accept.
- A message appears Reversal Complete.
- Click OK.
- Repeat Steps 5-15 for as many Reversals as needed.
- Click Close to return to the Batch.
- Click Output-Rel.
- Select Output Options.
- Click Accept.
- Select Output type: Munis Printer, Save, PDF, or Display.
- Click OK.
- A message appears Would you like to release this Batch?
- Click Yes.
- The Batch has now been released and can be posted from Payments Journal.
To reverse an entire batch of Transfer of Overpayments, please use the following steps: - Navigate to General Revenues > Payment Processing > Payment Batch Reversals.
- Click Define.
Add - Enter the batch number of the Transfer From Receipt.
- Choose Receipt, Transfer From Bill as the Content Type.
From here Munis - The program will determine if the targeted batch ispostedor unposted,
letting - letting the user know that if the batch was not posted it would create new reversal receipts within the existing batch or if posted Munis will now create a new batch with the reversal receipts.
- Choose a Reason.
- Output Release the Payment Batch Reversal.
- Use Payments Journal to post the existing batch or post the new batch to create a General Ledger entry
. Any further issues or if there are any errors encountered during the above procedure, please contact Munis Support- .
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