EOP Only | Yes |
Frequency | Monthly |
Sequential Updates | No |
Skip Notes |
For more information about End of Period,
refer to U04 End of Period Overview.
Users must select FHUT Tax Disbursal from U0212 Portfolio→End
of Period Customizations to report disbursal prior to running end of month.
This end of month update will be executed same as U0119 Property Tax/FHUT Payable update for disbursing the amount
of FHUT tax disbursal that is payable to a taxing jurisdiction. It will use the rtr Tax Release record with Payable Type = ’02’
(FHUT) for this update. The selection criteria of the report is ALL and the report will sort the results by state, and
county. The effective date will be the current date. The extracted report will display the records found and meeting the
end of month portfolio.
Once the end of month process completes, system will place the generated file in $ueop directory. The rtr Tax Release
records that were found will be deleted and move to the rhr Historical Tax Release table. The XML file containing the
data from the output will be created and deposited into the data directory. (Same as U0449)
U0473 FHUT Tax Disbursal asset-level report that includes:
If the Multiple Banks module is purchased, cash account 128 (FHUT tax disbursal) will be credited.
LeasePak is using cash account 128 for FHUT tax disbursal.
Vertex O users:Vertex-O is not supported for this update.
The FHUT Tax Disbursal will also produce the following general ledger transactions:
General Ledger Account | Amount | |
DR | ASSMT Payable – FHUT | Disbursement Total |
CR | Cash |