The External Deposit Report is not supposed to print
data that comes from eDex Subsidy Housing web methods.
Summary
External Batch
The external batch number as assigned by a third-party
product such as for online payments.
eSite Batch
The internal eSite batch number.
Rent/Other
Amount posted to the Rent and Other income codes.
Security Deposits
Amount posted to Security Deposits.
Misc
Amount posted to Misc Income.
Return
Amount posted as a return payment.
Totals
Totals are listed for columns as well as for Batch,
Bank Book, Property, Grand Total, and External.
Settlement Amount
The date and amount of the external batch. Displays
for External batches only.
Variance
The difference between the eSite Batch Total and
the External Settlement Amount. Displays for External batches only.
Note
Normally, a variance should not exist between the eSite
batch total and the External Settlement amount. They should be the same.
If a variance amount is seen between the eSite Batch
Total and the External Settlement Amount, then it is likely that a payment
posted by your third party vendor (for online payments for example) has
not yet been transferred to eSite. You will need to contact your third
party customer representative and use the secure Correct
Transaction feature in eSite to enter the payment.
External Batch
The external batch number as assigned by a third-party
product such as for online payments.
eSite Batch
The internal eSite batch number.
Unit
The identifying Unit ID. For example, 01-100.
Name
The name of the primary resident whose payment
was submitted and posted.
Date
The date of the deposit.
Eff Date
The date the deposit was effective. Typically,
the date it was posted.
Rent/Other
Amounts posted to the Rent and Other income codes.
Security Deposits
Amount posted to Security Deposits.
Misc
Amount posted to Misc Income.
Return
Amount posted as a return payment.
Description
A brief description of the batch.
Reference
Reference number used for tracking or auditing
purposes. Only displays if you use reference numbers.
Totals
Totals are listed for columns as well as for Batch,
Bank Book, Property, Grand Total, and External.
Settlement Amount
The date and amount of the external batch. Displays
for External batches only.
Variance
The difference between the eSite Batch Total and
the External Settlement Amount. Displays for External batches only.
Note
Normally, a variance should not exist between the eSite
batch total and the External Settlement amount. They should be the same.
If a variance amount is seen between the eSite Batch
Total and the External Settlement Amount, then it is likely that a payment
posted by your third party vendor (for online payments for example) has
not yet been transferred to eSite. You will need to contact your third
party customer representative and use the secure Correct
Transaction feature in eSite to enter the payment.
Detail
External Batch
The external batch number as assigned by a third-party
product such as for online payments.
eSite Batch
The internal, eSite batch number.
Unit
The identifying Unit ID. For example, 01-100.
Name
The name of the primary resident whose payment
was submitted and posted.
Date
The date of the deposit.
Eff Date
The date the deposit was effective. Typically,
the date is was posted.
Code
The income code applied to the payment transaction
within the batch.
Rent/Other
Amounts posted to the Rent and Other income codes.
Security Deposits
Amount posted to Security Deposits.
Misc
Amount posted to Misc Income.
Return
Amount posted as a return payment.
Description
A brief description of the batch.
Reference
Reference number used for tracking or auditing
purposes. Only displays if you use reference numbers.
Totals
Totals are listed for columns as well as for Batch,
Bank Book, Property, Grand Total, and External.
Settlement Amount
The date and amount of the external batch. Displays
for External batches only.
Variance
The difference between the eSite Batch Total and
the External Settlement Amount. Displays for External batches only.
Note
Normally, a variance should not exist between the eSite
batch total and the External Settlement amount. They should be the same.
If a variance amount is seen between the eSite Batch
Total and the External Settlement Amount, then it is likely that a payment
posted by your third party vendor (for online payments, for example) has
not yet been transferred to eSite. You will need to contact your third
party customer representative and use the secure Correct
Transaction feature in eSite to enter the payment.