Client Payment: Agency Bill Cash

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Client Payment Processing for Agency Bill Policies

This procedure outlines how to receive a client payment on an agency bill policy. This will create a cash receipt, and apply the payment to an invoice, multiple invoices, or left on-account for the client.

Create an Agency Bill Payment - One Invoice

  1. Load the client on one of the four client tabs.
  2. Select the Account tab at the bottom to view the client's current balance. (GL 1120 - Client Receivables)
    Cltexp-account.png
  3. Verify the account balance shows a single outstanding Agency Bill invoice.
  4. Right-Click on the invoice and select Attach Payment.
    Cltexp-account-attachpay.png
    (If "You must select an invoice item" is displayed, verify the invoice is highlighted in blue, and that the top record for the invoice is selected.)
  5. Enter a Check Number or select F2 to display "<CASH>". (Check number refers to the client's check number.).
  6. Enter the Amount for the payment.
    Cltexp-account-attachpay-createcash.png
  7. Verify the Date and the Bank code. (The bank will auto-fill based on your Agency Profile.)
  8. Select Ok and Yes to print if desired.

Create an Agency Bill Payment - Multiple Invoices

  1. Load the client on one of the four client tabs.
  2. Select the Account tab at the bottom to view the client's current balance. (GL 1120 - Client Receivables)
    Cltexp-account.png
  3. Verify the account balance shows multiple outstanding Agency Bill invoices.
  4. Select Reconcile on the top toolbar.
    Cltexp-account-reconcile.png
  5. Verify the date range will include all invoices displayed on the client's account tab.
    Cltexp-account-reconcile-dates.png
  6. Select Ok.
  7. Verify the cash transaction details:
    • Bank Code. (The bank will auto-fill based on your Agency Profile.)
    • Department code for the cash transaction.
    • Cash transaction Effective date.
    • Check Number or select F2 to display "<CASH>". (Check number refers to the client's check number.).
    • Cash transaction Description.
    • Cash transaction Amount.
    Cltexp-account-reconcile-cashdet.png
  8. Select Ok.
  9. Right-Click and select Pay All In Full to pay all listed invoices. (To pay individual invoices, Right-Click on each invoice and select Pay This Invoice In Full.)
    Cltexp-account-reconcile-payall.png
    See Reconcile Client Receivables for additional options and instructions.
  10. Select Perform Reconciliation to create the cash transaction, and apply the payment to each invoice.
  11. Select Ok.

Create an Agency Bill Payment - No Invoice

  1. Load the client on one of the four client tabs.
  2. Select the Account tab at the bottom to view the client's current balance. (GL 1120 - Client Receivables)
    Cltexp-account.png
  3. Verify the account balance shows no outstanding Agency Bill invoices.
  4. After verifying there are no outstanding invoices, return to the client's Basic Tab.
  5. Right-Click on the policy number and select Attach Payment.
    Payment-db-attachpay.png
  6. Enter a Check Number or select F2 to display "<CASH>". (Check number refers to the client's check number.).
  7. Enter the Amount for the payment.
  8. Select Cash Type -> Regular.
    Cltexp-ab-attachpay-regular.png
  9. Verify the Date and the Bank code. (The bank will auto-fill based on your Agency Profile.)
  10. Select Ok and Yes to print if desired.

After creating the on-account cash, the amount will be displayed on the client's account tab, and can be applied to an invoice in the future.

Cltexp-account-onaccount-cashonly.png

Create an Agency Bill Payment - No Policy

If an outstanding invoices is not on file, and a policy does not exist, a client payment can be placed on account.

  1. Load the client on one of the four client tabs.
  2. Select the Account tab at the bottom to view the client's current balance. (GL 1120 - Client Receivables)
    Cltexp-account.png
  3. Verify the account balance shows no outstanding Agency Bill invoices.
  4. After verifying there are no outstanding invoices, return to the client's Basic Tab.
  5. If there are any policies listed under Active Policies see Create an Agency Bill Payment - No Invoice.
  6. After verifying there are no active policies listed, select A/R -> Cash Transaction.
  7. Enter the Bank Code
  8. Enter G/L -> 1120.
  9. Enter Sub G/L -> Client Number displayed behind the cash screen on the client's basic tab.
    Ar-cash-clientfrombasic.png
    (Alternatively, enter * then press <Enter> to search using the Client Keyword Search. )
    Ar-cash-clientsearch.png
  10. Enter the Department Code.
  11. Enter the Check # or press <F2> for cash.
  12. Enter a short Description.
  13. Enter the Original Amount, and select Accept.
    Ar-cash-enter-amount.png
  14. Select Print, or Exit to close.

After creating the on-account cash, the amount will be displayed on the client's account tab, and can be applied to an invoice in the future.

Cltexp-account-onaccount-cashonly.png