Cash Control [U0126]

Contents

 

Introduction

The Cash Control Module is a separately purchased module that works in conjunction with the Batch Number Payment Reversal [U0102] enhancement. Each group of payment entries is controlled by the batch number consisting of today's date, and a unique sequential number.

Automatic Suspense items may be assigned a P/C/R/O and a bank code in the automatic suspense section of the Module Customizations option of the Portfolio update [U0212].

LeasePak will automatically assign a trace reference information from the Payment Origination code. The trace reference will appear in the Cash Control Payment History [R0926] report.

When a Suspense item has been tied to the lease or a PCRO, LeasePak will automatically default the trace reference information to the Suspense Review [R0203] report.

For Cash Control, LeasePak automatically assigns unique 30-digit batch numbers to each check applied through [U0102PA]. It is later possible to display all the line item amounts paid by a check on the Cash Control Batch Number Payment Reversal screen, even if they are from multiple leases and/or invoices.

The Batch number changes when a new CHECK NUMBER is entered. Batch numbers assigned by LeasePak are made up of 20 digits:

This number increases each time a new check number is entered.

For example, 3 checks from 3 lessees are to be applied on September 3, 1995.

Check
Number
Check Amount Invoice Number Amount Paid Batch Number
1011 $250 10042 $100 9509039000010000001
same 10191 $100 9509039000010000001
same 10233 $50 9509039000010000001
976 $7005 09919 $7005 9509039000010000002
9442 $2224 10098 $1112 9509039000010000003
same 10131 $1112 9509039000010000003


If the user leaves the Payment screen back to the main menu, and then goes back to enter more payments, the next batch number will start with: 95090390000200000001.

LeasePak v51a and above supports Interest Bearing Loans and interest only IBL's with RIF0, RIX6 AIF5 or AIXE type accrual methods.

A new batch number is assigned for each IBL payment even for the same check number. This prevents cascading results in IBL payment Reversals. All invoices must be paid through Payments [U0102].

Note: When the Principal Payment Down (Y/N) switch is set to Y, LeasePak will apply overpayments to the Principal paydown if no account receivable record exists. This behavior works with the IBL A or B Behavior switch in Custom General [U0712] set to A.

Payments by customer/group are not assigned batch numbers; they are not supported by Cash Control.

Note: Batch numbers may also be included in input files for batch payments processed through end of period [U0415] and through interactive Batch Payments [U0305]. If batch numbers are used for Batch Payments, they must be assigned by the lockbox or other entity creating the batch payment files. The format of batch numbers remains the same, 20 digits made up of date, batch number and check sequence number. It is important that numbers assigned by a lockbox not duplicate those assigned by LeasePak for manually processed payments on the same day. For the 6 digit batch sequence number use: 000001 - 900000. This is why on-line Payment batch sequence numbers start with 9000001.

 

Application of Overpayment to Principal

For overpayments on IBLs, you can control whether or not to apply the amounts to the principal or place them in suspense. At the porfolio level, you can do this through the field Principal Pay Down (Y/N) in Portolio [U0212] Miscellaneous Customizations. At the individual loan level, you can do this with the field in either Book Lease [U0101] or Master Financial [U0202].

 

Payment Application to IBL with Open Suspense Item

If an IBL has an existing suspense item, an incoming payment will not be applied interest or principal, but will create a new suspense item tied to the IBL. Amounts from suspense items must be applied or cleared before normal payment application resumes.

 

 

Add/Change Cash Control Batch Number

This screen allows the user to enter the Batch Control Number that is to be added, changed or deleted.

 

This screen appears when the Add button is selected.

 

When a Batch Control Number is entered or the Help button is used to select a previously entered number, LeasePak allows the user to select the Change button.

 

 

Batch Payment Entries

This screen allows for Batch Payment Entries.

 

When the validation is complete, LeasePak will display the following screen:

 

Selected Yes, No or Cancel. When Yes is selected the following screen is displayed:

LeasePak displays the Batch payment detail record and validation for the specified batch number. Select OK.

 

Batch Payment Report Viewer

This screen appears when OK is selected in the previous screen. This screen allow the user to view the Batch Payment Report Viewer [R0415] at the time of entry. Select one of the choices if desired, if not, select Cancel.

 

Once the batch payment job has been submitted, the processed job may be viewed through the Cash Control [U0126] update or through the Batch Payment Report Viewer [R0415].

To view the report through the Cash Control [U0126] update, select the batch number from the first screen that is to be viewed. The Help menu will display the batch numbers that have been completed. When a completed job is selected, the VIEW button will appear in the screen.

 

 

The following screen is displayed and a selection is required to view or print the desired report. To view the report at a later time, select cancel.

For a detailed description of the report, refer to the Batch Payment Report Viewer [R0415].

 

Delete Cash Control Batch Number

Unprocessed batch numbers may be deleted. Select the batch control number to be deleted. Use the Help button to view the list of unprocessed batch numbers. Select Delete.

 

Select Yes or No for the Batch Detail Record that is displayed to be deleted or not. If Yes is selected, the Batch Detail record will be deleted for the given batch control key.