Rebuild Balances Tab

Make the following selections from the eSite menu to display this page:

Special—Utilities—Rebuild Balances

Use this tab to correct differences between the Transaction and Lease tables on the Balance Exceptions Report. When the utility is run, it rebuilds balances from transactions by recalculating the security billed and on-hand amounts in the Lease table and the beginning, billed, paid, ending and net balance fields in the LeaseRecLNotice table.

ClosedFields

NoteNote

A red asterisk ( * ) indicates a required field or selection.

Password *

eSite Utilities require a password. If you do not have the appropriate password, contact your AMSI Client Care Representative at (800)231-0605.

Enter your AMSI utility password.

Use Selected Properties

Accept the unchecked default to run the utility for all properties within the current database. Or, check to run the utility only a single property selection made from the Select Properties Tab.

Property ID

If running the utility for a single property selected from the Select Properties Tab, then the system auto-defaults that property ID in this field.

If running the utility for all properties within the current database, then this field displays blank. Accept the blank default and move to the next field.

Building ID

If running the utility for units that include a specific building number only, use the drop-down to select the desired number.

If running the utility for all building numbers, leave blank.

Apartment ID

If running the utility for units that include a specific unit number only, use the drop-down to select that unit number.

If running the utility for all unit numbers, leave blank.

Resident ID

If running the utility for units that include a specific resident ID, use the drop-down to select that resident ID number.

If running the utility for all resident ID's, leave blank.

ClosedTo Run the Rebuild Balances Utility

  1. Confirm your property selection using Select Properties.
  2. Complete the tab. For help, refer to the Fields list.
  3. Click Process.

 

See Also

Balance Exceptions Report

Select Properties Tab

Clear BOD Tab

Clear Active Process Tab

Clear Temp Table Tab

Rebuild Deposits Tab

Rebuild Open Items Tab

Recalc Counts Tab

Recalc Dashboard Tab

Round Amounts Tab

Untransfer to GL Tab

Special Overview

 

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