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To Enter Bulk Payments
Note
When you select an Income
Code, then Balance Type
and Resident Status are disabled.
Refer to the Field List for Bulk Payments for details
about the effect of selecting an Income Code for subsidized housing.
- From the eSite menu,
select Ledger—Bulk
Pay/Bill.
- If you want to base
resident selection is on properties defined in on the Select
Properties tab, select the Use Selected
Properties check box. Otherwise, keep the check box cleared if
you want property selection limited to the current property only.
- Click Enter
Bulk Payments.
- From the Bulk
Payments Tab, in the Description
field, type a new description, if desired.
- In the Date
field, type the date the bulk
payments are entered (mm/dd/yyyy). Or, click the Calendar
button to select a date.
- From the Balance
Type drop-down list, select the balances you want to display in
the payment grid.
- From the Payment
Type drop-down list, select the type of payments being entered.
- From the Resident/Tenant
Status drop-down list, if the grid should be sorted by resident/tenant
status, select Selection and then
select the desired criteria.
- From the Income
Code drop-down list, if the grid should be sorted by a specific
income code, select an income code. Refer to the Field List for more information
about how eSite facilitates the payment process for subsidized housing
properties.
- In the Check
# field, type the check or money order number used to identify
the resident's payment. (This field is available only if the payment type
is anything but Check or Money
Order).
- In the Amount
Paid field, type the amount paid.
Note
Concession amounts must be entered as credits (for example:
-50.00).
- Click Save.
See
Also
Bulk Pay/Bill
Overview
To Enter
Bulk Billings
To Enter
Bulk Corporate Client Payments
Bulk Pay/Bill
Task Selection Tab
Bulk Payments
Tab
Bulk Billings
Tab
Corporate
Client Payments Tab
Effects
of Global Policies