Operator's Status Review [R0202]
The Operator's
Status Review report [R0202] summarizes each operator's activity since the last
End of Month. The report may be used as a tool in measuring productivity or analyzing
workload.
The report
may be accessed through the Operational Management report menu [R02].
The
report is generated interactively for all operators and
is organized by Operator Initials.
The
report may be automatically generated for all operators at the end of the month
through the End of Period update [U0401]. Use the END
OF PERIOD MODULES AND REPORTS screen under the End
of Period Customizations option of the Portfolio update [U0212] to specify whether
the report is created.
Operator's
Status Review

The Operator Status Review report [R0202] reports at the operator level and
provides the number of transactions performed (month-to-date) for each of the
following transaction types:
- PAYMENT
The number of lease payments
(invoices) processed through the Payments update [U0102] is displayed.
- PAYOFF
The
number of payoffs (payoffs, terminations and sale of off-lease inventory) processed
is displayed.
- MAINTENANC
The number of maintenance
transactions performed is displayed. This includes modifications processed through
the Demographic update [U0204], Vendor update [U0201], Lessee update [U0203],
and Master Financial update [U0202].
- PMT
REVERS
The number of
payment reversals processed through the Payments update [U0102] is displayed.
- NEW LEASE
The number of new leases
booked through the New Lease update [U0101] is displayed. New assets added into
inventory but not booked to a lease are not shown.
- REBOOK
The number of rebook transactions
performed through the Rebook update [U0116] is displayed.
- ACCRUAL
The number of times the
operator submitted the Cycle Accrual update [U0301] (interactively or through
End of Period [U0401]) is displayed.
- SUSPENSE
The number of times suspense
entries were added, changed, or reversed is displayed.
- CSHR
CHECK
The number of
times cashier's checks were added, changed, or reversed is displayed.
- TOTAL
The total number of transactions performed
for each operator
and transaction type are shown.
Additional
Information
The information
for this report is updated as soon as each transaction is completed. For example,
as soon as a lease is booked by an operator, the NEW LEASE total for the operator
is increased by one.
Transaction
totals for each operator are cleared (zeroed) at the end of each month by the
Operator Status Review report [R0202] generator program. Therefore, this report,
if selected interactively during the month, shows the month-to-date transaction
activity since the last LeasePak End of Month was performed. If the Operator Status
Review report [R0202] is bypassed during the End of Month process, the transaction
totals are not reset to zero. Refer to the END OF PERIOD MODULES AND REPORTS screen
under the End of Period Customizations option of the Portfolio update [U0212]
for more information about bypassing End of Period functions.
LeasePak Documentation Suite
©
by NetSol Technologies Inc. All rights reserved.
The
information contained in this document is the property of NetSol Technologies Inc.
Use of the information contained herein is restricted. Conditions of use are subject
to change without notice. NetSol Technologies Inc. assumes no liability for any inaccuracy
that may appear in this document; the contents of this document do not constitute
a promise or warranty. The
software described in this document is furnished under license and may be used
or copied only in accordance with the terms of said license. Unauthorized
use, alteration, or reproduction of this document without the written consent
of NetSol Technologies Inc. is prohibited.
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