Difference between revisions of "Client Payment: Agency Bill Credit Card"

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(updated images / added snip of GL detail for reference)
 
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For instructions taking a payment on [[:Category:Direct Bill|direct bill policies]], see [[Client Payment: Direct Bill Cash Transmittal]].  
 
For instructions taking a payment on [[:Category:Direct Bill|direct bill policies]], see [[Client Payment: Direct Bill Cash Transmittal]].  
  
== From the My Newton Campus Forum: Frequently Asked Questions ==
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==Frequently Asked Questions (FAQ)==
All Agency Systems customers are invited to join the [http://www.mynewtoncampus.com/forum/ My Newton Campus user community forum].
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*[[Talk:Client_Payment:_Agency_Bill_Credit_Card#Client_credit_card_payment_-_Why_not_post_directly_to_bank_account.3F|Client credit card payment - Why not post directly to bank account?]]
 
 
*[http://mynewtoncampus.com/forum/index.php?topic=130.0 Why not deposit the agency bill client credit card payment directly to the bank account?]
 
  
 
==Create a Credit Card Virtual Bank Profile ==
 
==Create a Credit Card Virtual Bank Profile ==
  
A new virtual [[Bank Profile|bank account]] will be used for all client credit card payments. This bank account is a holding account until the money is physically deposited into the bank account.
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A new virtual [[Bank Profile|bank account]] will be used for all client credit card payments. This virtual bank account is a holding account until the money is physically deposited into the agency's premium trust bank account.
  
#Select '''Profiles -> Bank'''.
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#Select '''Setup -> Bank'''.
#Select '''Add'''.
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#Select '''Create New'''.
 
#Enter a unique '''Bank Code'''.  ''(Example: 401)''
 
#Enter a unique '''Bank Code'''.  ''(Example: 401)''
 
#Enter a '''Bank Name'''. ''(Example: CC Client Payments)''
 
#Enter a '''Bank Name'''. ''(Example: CC Client Payments)''
 
#Select '''Save -> Exit'''.
 
#Select '''Save -> Exit'''.
#:[[File:Clientpayment-agencybillcc-createbank.png]]
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#:[[File:Clientpayment-agencybillcc-createnewbank.png]]
  
 
== Create a Client Credit Card Payment - No Client Fees ==
 
== Create a Client Credit Card Payment - No Client Fees ==
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#Select '''Bank -> 401: CC Client Payments'''.
 
#Select '''Bank -> 401: CC Client Payments'''.
 
#Select '''OK'''.
 
#Select '''OK'''.
#:[[File:Clientpayment-agencybillcc-createcash.png]]
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#:[[File:Clientpayment-agencybillcc-createnewcash.png]]
  
 
=== Transfer Credit Card Payment - No Client Fees ===
 
=== Transfer Credit Card Payment - No Client Fees ===
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The transfer will be reduced by the amount of fees charged to agency by the credit card processor.  The transfer amount can be a single payment, or the sum of multiple payments.
 
The transfer will be reduced by the amount of fees charged to agency by the credit card processor.  The transfer amount can be a single payment, or the sum of multiple payments.
  
#Select '''GL -> Bank Transfer'''.   
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#Select '''Accounting -> Bank Transfer'''.   
 
#Enter the '''Source Bank''' for the virtual credit card payments. ''(From Example: 401)''
 
#Enter the '''Source Bank''' for the virtual credit card payments. ''(From Example: 401)''
 
#Enter the '''Destination Bank''' for the premium trust account. ''(From Example: 102)''
 
#Enter the '''Destination Bank''' for the premium trust account. ''(From Example: 102)''
 
#Enter the '''Amount''' deposited.  ''(From Example: $485.00)''
 
#Enter the '''Amount''' deposited.  ''(From Example: $485.00)''
 
#Confirm the remaining details and select '''Ok'''.  
 
#Confirm the remaining details and select '''Ok'''.  
#: [[File:Clientpayment-agencybillcc-banktransfer.png]]
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#: [[File:Clientpayment-agencybillcc-ccbanktransfer.png]]
 
#The transfer between bank accounts will be processed and a confirmation displayed.
 
#The transfer between bank accounts will be processed and a confirmation displayed.
  
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To move the sum of the credit card fees to the expense account, create [[Journal Entry|journal transactions]].  For recurring journal entries, a journal template can be used.  [[Journal_Entry#Journal_Entry:_Create_From_Template|Click here for more information]].
 
To move the sum of the credit card fees to the expense account, create [[Journal Entry|journal transactions]].  For recurring journal entries, a journal template can be used.  [[Journal_Entry#Journal_Entry:_Create_From_Template|Click here for more information]].
  
#Select '''GL -> Journal Transaction'''.
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#Select '''Accounting -> Journal Entry'''.
#Select '''New'''.
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#Select '''Create New'''.
 
#Enter '''GL Account -> 1100: Cash in Bank'''.
 
#Enter '''GL Account -> 1100: Cash in Bank'''.
 
#Enter the '''Sub GL Account'''. ''(From Example: 401)''
 
#Enter the '''Sub GL Account'''. ''(From Example: 401)''
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#Enter the '''Department''', typically '''GA'''.
 
#Enter the '''Department''', typically '''GA'''.
 
#Enter the '''Amount''' of the fees as a debit. ''(From Example: $15.00)''
 
#Enter the '''Amount''' of the fees as a debit. ''(From Example: $15.00)''
#:[[File:Clientpayment-agencybillcc-journaltrans.png]]
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#:[[File:Clientpay-agencybillcc-newjrnltrans.png]]
 
#Select '''Save''', then '''Exit'''.
 
#Select '''Save''', then '''Exit'''.
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'''Journal Register for fees:'''
 
'''Journal Register for fees:'''
:[[File:Clientpayment-agencybillcc-journalreg.png]]
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:[[File:Clientpayment-agencybillcc-journalregrep.png]]
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'''GL Detail for virtual credit card bank:'''
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:[[File:Clientpayment-agencybillcc-ccbankGLdetail.png]]

Latest revision as of 14:40, 14 March 2019

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The process below is used when a client pays the agency using a credit card on an agency bill invoice, and the credit card company retains a fee for processing the payment.

For instructions taking a payment on direct bill policies, see Client Payment: Direct Bill Cash Transmittal.

Frequently Asked Questions (FAQ)

Create a Credit Card Virtual Bank Profile

A new virtual bank account will be used for all client credit card payments. This virtual bank account is a holding account until the money is physically deposited into the agency's premium trust bank account.

  1. Select Setup -> Bank.
  2. Select Create New.
  3. Enter a unique Bank Code. (Example: 401)
  4. Enter a Bank Name. (Example: CC Client Payments)
  5. Select Save -> Exit.
    Clientpayment-agencybillcc-createnewbank.png

Create a Client Credit Card Payment - No Client Fees

Example: The client makes a payment for $500.00 for an Agency Bill invoice. The credit card company charges the agency a $15.00 fee for processing, and deposits only $485.00 into the agency’s premium trust bank account.

  1. Create a client payment for the amount received. (From Example $500.00)
  2. Select Bank -> 401: CC Client Payments.
  3. Select OK.
    Clientpayment-agencybillcc-createnewcash.png

Transfer Credit Card Payment - No Client Fees

After the credit card processor transfers the money into the premium trust account, mirror the transaction in Agency Systems with the bank transfer wizard.

The transfer will be reduced by the amount of fees charged to agency by the credit card processor. The transfer amount can be a single payment, or the sum of multiple payments.

  1. Select Accounting -> Bank Transfer.
  2. Enter the Source Bank for the virtual credit card payments. (From Example: 401)
  3. Enter the Destination Bank for the premium trust account. (From Example: 102)
  4. Enter the Amount deposited. (From Example: $485.00)
  5. Confirm the remaining details and select Ok.
    Clientpayment-agencybillcc-ccbanktransfer.png
  6. The transfer between bank accounts will be processed and a confirmation displayed.

Create Expense Journal - No Client Fees

To move the sum of the credit card fees to the expense account, create journal transactions. For recurring journal entries, a journal template can be used. Click here for more information.

  1. Select Accounting -> Journal Entry.
  2. Select Create New.
  3. Enter GL Account -> 1100: Cash in Bank.
  4. Enter the Sub GL Account. (From Example: 401)
  5. Enter the desired Date.
  6. Enter the Department, typically GA.
  7. Enter the Description.
  8. Enter the total Amount of the fees as a credit. (From Example: $-15.00)
  9. Enter the Expense GL Account as the first offset journal. (From Example: 6031: Credit Card Processing Exp)
  10. Enter the Department, typically GA.
  11. Enter the Amount of the fees as a debit. (From Example: $15.00)
    Clientpay-agencybillcc-newjrnltrans.png
  12. Select Save, then Exit.


Journal Register for fees:

Clientpayment-agencybillcc-journalregrep.png

GL Detail for virtual credit card bank:

Clientpayment-agencybillcc-ccbankGLdetail.png