Suspense Review [R0203]
 End of Period: Refer to the End of Period section in this document for information on the corresponding EOP process.
The 
Suspense Review report [R0203] identifies all suspense items. It may be used to 
review all outstanding and recently cleared suspense items or to prove the suspense 
General Ledger account on the General Ledger Entries Listing [R0406]. Closed suspense 
items appear on the report until they have aged the number of days specified in 
the SUSPENSE 
LIMIT IN DAYS field on the Miscellaneous Customizations screen of the 
Portfolio update [U0212]. 
The report may be automatically generated for each portfolio at the end of the 
month through the End of Period update [U0401]. Use the End of Period Customizations 
option of the Portfolio update [U0212] to specify whether the report is created. 
The report is 
organized by Portfolio, Company, Region, Office. There is an optional sort by 
bank code if the Multiple Banks module is purchased.
 The 
report may be accessed through the Operational Management report menu [R02] and 
 may be selected interactively 
for: 
  - all 
suspense items (open or recently cleared)
 - all 
suspense items within a specified portfolio/company/region/office
 - suspense 
items for a specified lease
 - all 
suspense items entered on or before a specified date
 - all 
suspense items entered on or after a specified date
 - all 
suspense items entered on or between two specified dates
 - all 
suspense items entered by a specified operator
 
 
 
Suspense Review Selection 

 
 - ALL
 Enter 
X to report on all suspense items currently on file (both open items and recently 
cleared items). Leave blank to report on suspense items entered within a specific 
period.  
 - START 
DATE
 Enter the beginning 
date in MM/DD/YY or DD/MM/YY format, depending on the Date 
Format Preference field in Security [U0706]. All suspense transactions initially 
entered into the system on or after this date are selected. If both a START DATE 
and an END DATE are entered, all suspense items entered into the system on or 
between these dates are selected. Leave START DATE blank to report on all suspense 
items or suspense items on or before an END DATE. 
 
  - END 
DATE
 Enter the ending 
date in MM/DD/YY or DD/MM/YY format, depending on the Date 
Format Preference field in Security [U0706]. All suspense transactions initially 
entered into the system on or before this date are selected. If both a START DATE 
and an END DATE are entered, all suspense items entered into the system on or 
between these dates are selected. Leave END DATE blank to report on all suspense 
items or suspense items on or after a START DATE. 
 
  - OPERATOR 
INITIALS
 To report on 
only those suspense items entered by a specific operator, enter that operator's 
initials.
 
  - GROUP 
BY BANK ACCOUNT
 If the 
Multiple Banks module is purchased, items put into suspense may be associated 
with a bank code. Enter Y in this field to sort the Suspense Review report by 
bank code. 
 
Suspense 
Review
 
 
  
  
 
The Suspense Review report [R0203] 
reports at the suspense item level and provides the following information: 
 
 - SUSP ITEM
 The 
number assigned to the suspense item is displayed. 
 
  - LEASE
 
The lease number assigned 
to the suspense item is displayed. The portfolio, company, region, office, and 
lease numbers are initially assigned to a suspense item in one of the following 
ways: 
 
   - Automatic 
assignment by LeasePak occurs if the item being placed into suspense is related 
to a specific lease, e.g., through the Payments update [U0102]. 
 - The 
user enters the information, e.g., through the Suspense update [U0109]. 
 - The 
lease number, as well as the company, region, and office numbers, for the suspense 
item may be changed through the Suspense update [U0109]. 
 
 
 
 - SUSPENSE 
TYPE
 The name of the 
update which was used to place the item into suspense (e.g., Payoff) is displayed. 
 
  - SUSPENSE 
DATE
 The date the item 
was placed in suspense is displayed in MM/DD/YY or DD/ MM/YY format, depending 
on the Date 
Format Preference field in Security [U0706]. 
 
  - SUSP 
ACCT
 The bank code used 
when the item was put into suspense is displayed if the Multiple Banks module 
was purchased. 
 
  - OPERATOR 
FROM
 The initials of 
the operator who initially placed the item into suspense are displayed. 
 
 
 - OPERATOR TO
 
The initials of the operator 
to whom the item was assigned for clearing are displayed, if applicable. Initials 
for OPERATOR TO appear when the item is assigned to an operator through the Session 
update [U0111]. If the item is not assigned to any operator, this field is blank. 
 
  - SUSPENSE 
AMOUNT
 The original 
dollar amount of the suspense item is displayed. 
 
  - REMAINING 
BALANCE
 The remaining 
balance of the suspense item is displayed. The remaining balance is decreased 
through the use of the suspense item (e.g., using the suspense item to process 
a payment). The remaining balance may be adjusted upwards or downwards through 
the Suspense update [U0109]. 
 
  - DATE 
CLEARED
 The date the 
item was cleared from suspense is displayed in MM/DD/YY or DD/MM/YY format, depending 
on the Date 
Format Preference field in Security [U0706]. An item is cleared from suspense 
when the full amount of the suspense item has been used, applied (i.e., when the 
REMAINING BALANCE is zero), cleared via a general ledger account or cleared via 
cashier's check. DATE CLEARED is automatically assigned to the current date when 
the item is cleared. The length of time cleared items remain on this report is 
specified by the user through the SUSPENSE LIMIT IN DAYS parameter on the second 
screen of the Miscellaneous Customizations option of the Portfolio update [U0212]. 
After this specified period has elapsed, the cleared suspense item is automatically 
deleted during End of Day. (Open suspense items are never deleted.) 
 
 
 - CLR ACCT
 The 
general ledger account or disbursal bank used to clear the suspense item is displayed. 
If the suspense item is not cleared, this field is blank. 
 
  - COMMENTS
 
The comments as entered 
by the operator are displayed for outstanding suspense entries. COMMENTS may be 
changed through the Suspense update [U0109]. If a suspense item is cleared, COMMENTS 
are automatically overwritten with a message indicating the initials of the operator 
who cleared the item (Suspense items cleared via a general ledger account are 
overwritten only if COMMENTS was not entered).  When 
the Cash Control module is purchased and a Suspense item is tied to the lease 
and a PCRO, LeasePak will automatically assign a trace reference information from 
the payment origination 
code. 
The report will 
display all payment and payment reversal records for the lease based on the Check 
Payment Master (RPM) and the Check Payment Detail file (RPN). 
 - TOTALS/GRAND 
TOTALS
 Page totals for the suspense amount and remaining balance for each 
office are shown. The remaining balance total should be proved to the suspense 
General Ledger account on the General Ledger Entries Listing [R0406].  
Region, company, portfolio, 
and grand totals are shown for the suspense amount and remaining balance. 
 
 
Additonal 
Information
Both outstanding 
suspense items (items with a remaining balance greater than zero) and cleared 
suspense items (items with a remaining balance equal to zero) appear on the report. 
Cleared items are eventually removed from the suspense file (and, therefore, removed 
from the report) after a specified number of days has passed since the item was 
cleared. This number of days may be different for each portfolio and may be changed 
through the 
SUSPENSE 
LIMIT IN DAYS field on the second screen of the Miscellaneous Customizations 
option of the Portfolio 
update [U0212]. Outstanding (open) suspense items are never 
automatically removed.   
 
The remaining suspense balance is reduced each time the item is used to apply 
a payment or payoff or to book a lease. It may be partially used, in which case 
the remaining suspense balance is less than the original suspense amount. 
 
 Balancing Procedures 
 The 
office, region, company, and portfolio totals for remaining suspense balance should 
balance to the corresponding totals of the General Ledger Entries Listing [R0406], 
produced at the same time. 
 
 
 End of Period
	
		| EOP Only | 
		No | 
	
	
		| Frequency | 
		Daily | 
	
	
		| Sequential Updates | 
		No | 
	
	
		| Skip Notes | 
		See comments below | 
	
 For more information about End of Period, refer to U04 End of Period Overview.
 
 EOP Updating Report: The EOP version of this report differs from its interactive counterpart in that makes changes to database records.
This module 
produces the same report as the interactive Suspense Review report [R0203], but 
when executed through End of Period, this module performs an additional function:
 - Suspense (RSU) 
file updating is performed to remove the suspense item records that fall within 
the cutoff date and are cleared. 
 
This 
report shows the suspense and remaining balance amount. It is recommended that 
this report be run at least once a month. 
Skip Notes: There is no adverse effect if this report is skipped. Suspense items 
to be deleted in the current End of Day process are deleted by the next End of 
Day Suspense Review report.
 
LeasePak  Documentation Suite
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 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 
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