Auto Cash Posting and Credit Card Payments Presented by: Nancy Ross and Jana Smith.

Slides:



Advertisements
Similar presentations
ORDER VERIFICATION ORDER ENTRY DAILY PROCESS ORDER VERFICATION - Order Sort Browse - Enter Order # - F-8 OK.
Advertisements

In this entry we can add new steward and waiters.
Steps For A Successful Month End Close Presented by: Nancy Ross.
What’s New and “Under Construction “ in Accounting Presented by: Nancy Ross.
What’s New in GE Part 1 (AR, AP, PO, Job Cost Presented by: Derek Kratz.
Billing And Accounts Receivable - non-sponsored
1 FTD Mercury Accounting Module. 2 4 Basic Concepts What kind of data is transferred\exported to Quickbooks. How FTD Mercury exports sales data to Quickbooks.
Billing And Accounts Receivable - non-sponsored. Agenda Overview of A/R at UVM Definitions Responsibilities Bill Creation Monthly Processes Payments Customer.
1 Payables Efficiency Through… Access Online PAYMENT PLUS.
Credit Card Costs.  Identify important information about credit cards terms and conditions.  Calculate the new balance on a credit card.  Verify transactions.
Frank Wood and Alan Sangster, Frank Wood’s Business Accounting 1, 12 th Edition, © Pearson Education Limited 2012 Slide 16.1 Chapter 16 Returns day books.
U.S. Bank Corporate Payment Systems Payment Plus.
Financial Services & Electronic Banking Ch PoB 2011.
2013.  Reconcile your checking account  Create bank reconciliation reports  Find errors during reconciliation  Correct errors found during reconciliation.
HeadMaster Online Payments. Not within product: To Sign Up…
FINANCE Chapter 9 Checking Accounts and Other Banking Services.
Grain Live and Sales Live from Accounts Receivable including End of Month Reporting Multiple Customer Invoicing and Price Levels.
Installment Buying and Credit Cards. Simple Finance Charges The finance charge is the amount of the purchase in excess of the selling price. Barry wants.
Welcome To Follow along with the Demonstrations go to
Section 2 17 Chapter Financial Services & Electronic Banking.
Chapter 6- Source Documents. Source Document (p. 165)  Is a business paper that shows the nature of a transaction.
Credit Card Processing Overview. Credit Card Setup Overview  Call The Business Link ( ) Decide on Processor/Clearing House Software. Eprocess.
Bank Account Reconciliation. Reconciling The process of matching your checkbook register with the bank statement is known as reconciliation. The back.
The Journal and Source Documents CHAPTER 6. A journal is a book in which the accounting entries for all transactions are first recorded, before they are.
Slideshow 2 Setting Up Bank Services, Tax Services and Schedule Codes.
Source Documents. The Accounting department of a business does not start the transactions that a business. Sales, the owner, supervisors, managers, all.
Special Journals: Purchases and Cash Payments
Non-student (External) Accounts Receivable System.
Chapter 7 – Credit Card Math
©2008 TTW Where “Lean” principles are considered common sense and are implemented with a passion! Product Training Customer Review.
B13: I can find the new balance on a credit card statement.
Managing your accounts with Promoserve Andy Barton
INDIANA UNIVERSITY FIS Non-student (External) Accounts Receivable System.
Job Costing A/P A/R Misc General Ledger
Jeffrey S. Leafer, EA, MBA
The Causeway Company uses the following procedures to process the cash received from credit sales. The mailroom receives checks and remittance advices.
Chapter 4, Section 2 Credit Card Finance Charges.
1. To request that we post your tour at REALTOR.com, click the REALTOR.com button (there is a charge of $5.95 per tour posting) 2.Check the ‘Post my tour’
Agenda Sage Vision New Features in Cashbook 2.New Features in RecXpress 3.New Features in EFTXpress.
AR160 AR Reporting, Best Practices and Unit Responsibilities AR160 Accounts Receivable Reporting, Best Practices and Unit Responsibilities University of.
Chapter 2 Page ref. Chapter 2 Customizing QuickBooks 53.
Accounts Receivable. Topics Covered New Statement Options New Receivables report source Customer Statement panel Scheduling Statements DB Config settings.
McGraw-Hill/Irwin Introduction to QuickBooks Pro, 2004 © 2005 The McGraw-Hill Companies, Inc., All Rights Reserved. Chapter 11 Customizing QuickBooks.
Prepared by: Session ID: Improve Banking operational efficiency by Implementing Financial Gateway and Cash Management Name Khalid Mohammed / Dan Kanner.
Configuring your Customer’s Invoices
Grants Billing Process Prior: Billing Quickbooks
AR SESSION: Best Practices for Month End Closing Carly Kelso and Ruth Sensabaugh
EUG Finance.
4.5A Credit card statements
CAO Cash Collection New Operation Process
CHAPTER 9.
Understanding Plastic Cards
Chapter 6- Source Documents
PHCC-National Association
Mailroom Recieves checks and remittance advices Endorses checks
Riding the Wave of Innovation
The Causeway Company uses the following procedures to process the cash received from credit sales. The mailroom receives checks and remittance advices.
Causeway Table of Activities
Causeway Table of Activities
SECTION 4-6 Online Banking pp
CHAPTER 6 Journalizing 2 2.
Product Training Customer Review
The Causeway Company uses the following procedures to process the cash received from credit sales. The mailroom receives checks and remittance advices.
NATIONAL TRANSACTION CORPORATION
SECTION 7-4 Finance Charge: Average-Daily-Balance
Mailroom Recieves checks and remittance advices Endorses checks
Mailroom Recieves checks and remittance advices Endorses checks
Causeway Table of Activities
Causeway Table of Activities
Presentation transcript:

Auto Cash Posting and Credit Card Payments Presented by: Nancy Ross and Jana Smith

SA Monthly Billings with Credit Card Processing Select the “Auto Payments” box on the SA Summary

Run Monthly SA Billings

SA Auto Payments

Finding the Auto Payments

SA Auto Payment Screen

Check File with Auto Apply 1. Create file based on file layout specifications. 2. Load file

Review Un-posted Transactions

Other File Load Options Available Do you have a high volume of payments to process from a lock box? Can your bank send you a file daily?

Other AR Features Are you using: – Finance Charge Run – Mass Send/Print Invoices and Statements

Let GE help you automate the daily cash posting process – 1. Upload a file from your bank 2. Send a file from GE to your bank 3. Use credit card processing with SA monthly invoices to automate both the billing and payment process.

Questions?