Allows the user to create or modify portfolio-level settings for client, lease, and asset assessments, including one-time assessments, recurring charges, IDC/IDR, miscellaneous assessment codes, and client-level assessments.
This is one of the menu options available within U0212 Portfolio. Refer to U0212 Portfolio for more information.
Some fields may not be visible or available if you do not have the prerequisite LeasePak modules in your license. Please refer to individual field descriptions for details.
Use this screen to set up the various one-time or infrequent (as opposed to recurring charge) assessments. Although Leasepak displays all assessments, you will only be able to configure those for which you are licensed. Contact your NetSol representative for more information on licensing additional assessments.
Requires Name Assessments module to enter a custom name for the rental/principal payment.
Requires Name Assessments module. If desired, type a number to specify the order in which LeasePak should apply cash to the rental (principal) payment when the Lessee only provides a partial payment to the invoice. Refer to Payment Hierarchy for more information.
Requires Name Assessments, Batch Enhanced Payments (JULE Fund 1996) modules. Check box or type Y to set the rental (principal) payment as a priority item when the Lessee only provides a partial payment to the invoice. Refer to Payment Hierarchy for more information.
Requires Name Assessments module to enter a custom name for the interest payment.
Requires Name Assessments module. If desired, type a number to specify the order in which LeasePak should apply cash to the interest payment when the Lessee only provides a partial payment to the invoice. Refer to Payment Hierarchy for more information.
Requires Name Assessments, Batch Enhanced Payments (JULE Fund 1996) modules. Check box or type Y to set the interest payment as a priority item when the Lessee only provides a partial payment to the invoice. Refer to Payment Hierarchy for more information.
Requires Batch Enhanced Payments (JULE Fund 1996). Works in conjunction with the Priority setting of each item. Type A, B, or N, to specify payment application to past due invoices:
Refer to Payment Hierarchy for more information.
You can view the resulting payment application using LeasePak reports, such as R0405 Daily Transaction Journal and R0909 Account Payment History.
(not pictured) For Mexican IVA. Requires Name Assessments and VAT modules. Check the box or type Y to pay proportionate tax along with the rental (principal) payment or interest payment. When checked or set to 'Y', this setting takes precedence over any Payment Order assigned to Sales/Use Tax in the list below.
You must set U0212 Portfolio → Miscellaneous Customizations → Disburse Upfront Sales Tax (Y/N) to 'N' and U0212 Portfolio → New Lease Customizations → Upfront Value Added Tax (Y/N) to 'Y' in order to use this feature.
Vertex O Series users: This feature is not compatible with Vertex O.
Requires Name Assessments module. Displays 'L' if the assessment is accounted at the lease level or 'A' if the assessment is accounted at the asset level.
The 3 original asset-level assessments are type 'P' Passthrough/Payable, while the 10 newer asset-level assessments are type 'I' Income. The user cannot change these.
Also appears as "Assessments". Displays the LeasePak default assessment names (recurring charges are listed on the next screen). Requires Name Assessments module in order to change these names.
Requires Name Assessments module. If desired, type a custom name for the assessment. The custom name replaces the default name in
for transactions within this portfolio. Different portfolios may have different custom assessment names, but NetSol recommends using consistent assessment names if you plan on transferring leases from one portfolio to another (using Change Key). NetSol also recommends customizing office-level general ledger account names to match custom assessment names. You can do this through U0716 Office G/L Change.
Check the box or type Y to make the assessment available for transaction within this portfolio; uncheck the box or type N to make the assessment unavailable.
Also appears as "Accounting". Type C to account for the assessment on a cash basis (LeasePak recognizes the income or payable when the Lessee pays the assessment) or A to account for the assessment on an accrual basis (LeasePak recognizes the income or payable when it accrues the assessment).
Requires Name Assessments module. If desired, type a number to specify the order in which LeasePak should apply cash to the assessment when the Lessee only provides a partial payment to the invoice. Refer to Payment Hierarchy for more information.
Requires Name Assessments, Batch Enhanced Payments (JULE Fund 1996) modules. Check box or type Y to set the assessment as a priority item when the Lessee only provides a partial payment to the invoice. Refer to Payment Hierarchy for more information.
Also appears as "Delinq Calc (Y/N)". Check the box or type Y if you want unpaid amounts for this assessment to be reported and included in delinquency calculations. Clear the box or type N if you want unpaid amounts for this assessment to be excluded from delinquency calculations.
Check this box to set to Y if you want unpaid amounts for this assessment on invoices due on or after the payoff effective date to be reported and included in delinquency calculations. Clear the box to set to N if you want unpaid amounts for this assessment on invoices due on or after the payoff effective date to be excluded from delinquency calculations.
Check the box or type Y if, when a credit memo is applied to an invoice, you want money to be applied to this assessment type. Clear the box or type N if you want credit memos applied to invoices to not apply money to this assessment type.
After making changes on the screen as needed, click OK to store changes (if any) and continue to Recurring Charges, or click Cancel to return to the previous screen without making any changes.
Use this screen to set up recurring charge assessments. Although Leasepak displays all recurring charges, you will only be able to configure those for which you are licensed. Contact your NetSol representative for more information on licensing additional recurring charges.
ALI Interface users: If needed, set up a new recurring charge, type 'P', for use with the American Lease Insurance (ALI) Interface. Then select this charge for the ALI interface by using the field ALI Recurring Charge Code on the Assessment Codes screen. The recurring charge must be type 'P'.
Vertex O users: With the Vertex Indirect Tax O Series Interface module, the recurring charge type supports only 'E', 'I', or 'P' charge types—it does not support type 'T'.
Also appears as "Recurring Charge #". Displays the identifying number for the recurring charge. The first three recurring charges are available with the Base System; the remaining 12 are available with the optional Extended Recurring Charges module.
When establishing recurring charges, use the numbers sequentially; that is, do not set up Recurring Charge 1, Recurring Charge 2, and then skip to Recurring Charge 4. If you are planning on transferring leases from one portfolio to another (using U0114 Change Lease Key), the number of recurring charges used and their Type (see below) must match across the portfolios involved.
Type the name for the recurring charge. This is the name that will appear in
as well as on invoices and reports. If you plan to transfer leases from one portfolio to another (using U0114 Change Lease Key), NetSol recommends you make the recurring charge names consistent across these portfolios.
Check the box or type Y to make the recurring charge available for transaction within this portfolio; uncheck the box or type N to make the recurring charge unavailable.
LeasePak supports recurring charges accounted for both on cash basis (C) and accrual basis (A). This field determines how each recurring charge will be accounted for Cash (C) or Accrual (A). Enter A for accrual basis and C for cash basis. LeasePak defaults this field to Cash (C) basis and will function regardless of accrual basis functionality. Users can only use accrual basis recurring charges if “Accrual Basis Recurring Charge" module is purchased. This field will only be editable to enter A if this module is purchased. See General Ledger Accounting → Assessment Accounting for more information on cash basis accounting of assessments.
E - Escrow type RCRs are supported for accrual basis only.
Requires Name Assessments module. For recurring charges, LeasePak sets this to 0 and it cannot be changed. Refer to Payment Hierarchy for more information.
Requires Name Assessments, Batch Enhanced Payments (JULE Fund 1996) modules. Check box or type Y to set the recurring charge as a priority item when the Lessee only provides a partial payment to the invoice. Refer to Payment Hierarchy for more information.
This is turned on for all recurring charges, meaning that all recurring charges are reported and included in delinquency calculations. Currently this cannot be changed.
Check this box to set to Y if you want unpaid amounts for the recurring charges on invoices due on or after the payoff effective date to be reported and included in delinquency calculations. Clear the box to set to N if you want unpaid amounts for the recurring charges on invoices due on or after the payoff effective date to be excluded from delinquency calculations.
Check the box or type Y if, when a credit memo is applied to an invoice, you want money to be applied to this recurring charge. Clear the box or type N if you want credit memos applied to invoices to not apply money to this recurring charge.
Recurring charges can be one of several types. For each portfolio, you can have one type 'E' recurring charge and one type 'T' recurring charge. If you plan on transferring leases between portfolios (using Change Key), the number of recurring charges used and their types must match across the portfolios involved; that is, if Recurring Charge 1 is type 'P' in the first portfolio, then there must be a Recurring Charge 1 with type 'P' in the second portfolio as well.
NetSol strongly recommends you determine the type of the recurring charge prior to starting its use. Once a recurring charge has outstanding receivables, changing its type requires a manual data and general ledger conversion process, otherwise data inconsistencies and general ledger out-of-balance conditions will result.
LeasePak does not support recurring charge type 'T' in conjunction with the Sales Tax on Assessment module. Only one or the other can be used.
The types are:
Check the box or type 'Y' to bundle (include) the recurring charge with the rental payment. This affects the appearance of invoice scratch files only. It does not change payment application, accounting, or amounts stored in data. Changing the setting of this switch does not change existing applications or leases.
After making changes on the screen as needed, click OK to store changes (if any) and continue to IDC/IDR, or click Cancel to return to the previous screen without making any changes.
Requires Client Billing and Unused Funds Fee modules. Select the Client Assessment you wish to designate as the Unused Funds Fee. Refer to for more information.
Requires JULE Fund 2001 module. The ADM FEE-NSF amount field in U0721 Lease Form must be populated in order to automatically assess the NSF fee during U0102 Payment Reversal, Batch Number Payment Reversal, U0103 Payoff/Termination Reversal, and U0306, U0470 Batch Payment Reversal processed with an NSF Reason Code. Use to select from the following:
The long name of the assessments listed above can be modified by the user through U0212 Portfolio → Assessment Customizations. Also the assessment that is chosen for the NSF Fee G/L account can be changed through U0716 Office G/L Change.
Requires Cost Per Use module. Select the asset-level (not lease-level) assessment to use with the Cost Per Use module. Use to select from the following:
If you are using customized assessment names, the descriptions in the above list will differ. For more information, refer to Cost Per Use.
Requires Cost Per Use module. Select the lease-level (not asset-level) assessment to use with the Cost Per Use module. Use to select from the following:
If you are using customized assessment names, the descriptions in the above list will differ. For more information, refer to Cost Per Use.
Select the recurring charge number (either 1-3, or 1-15 with Extended Recurring Charges) to use with the ALI interface. The selected recurring charge must be type 'P'. Use to see a list of available 'P' type charges.
After making changes on the screen as needed, click OK to store changes (if any) and continue to Client Assessments, or click Cancel to return to the previous screen without making any changes.
Requires Client Billing module.
Displays the default client assessment name.
Replace the default name with a custom name for the client assessment.
After making changes on the screen as needed, click OK to store changes (if any) and finish the update, or click Cancel to return to the previous screen without making any changes.