The following table lists information about the columns and options that appear in the List of Transaction Codes grid on the Accounts page.
Column |
Description |
In Use |
A check mark indicates that the transaction code is enabled and associated with existing transactions. |
Code |
The name of the Transaction Code. The Code name is displayed when working with charge schedules, transactions, batch transactions, and tasks. |
Description |
The description of the Transaction Code. |
Transaction Type |
The Transaction Type depends on the type of account being configured. The following options are available: •Regular account: Select either Charge, Credit Memo, Transfer In (REG), or Transfer Out (REG). •Deposit account: Select either Transfer In (DEP) or Transfer Out (DEP). •Payment account: Select either Payment, Debit Memo, Transfer In, or Transfer Out. |
Asset Types |
If using charge schedules, Transaction Codes must be linked to Asset Types. |
Default Amount |
The default amount for a transaction created manually or via the Add Financial Transactions batch function or task. |
Default Term |
The default term associated with the transaction. |
Reverse Code |
Select the code to use when processing a void for a transaction that uses this transaction code. A reverse code is required for any transaction code where transactions will be voided. The reverse code must already be defined as a separate transaction code before it can be selected. |
Payment Code |
Select the default “transfer in” transaction code to use when processing a payment on a Charge transaction type. Before selecting the transaction code to use as the Payment Code, it must first be defined as a separate “transfer in” transaction code. For Regular and Deposit “transfer in” transactions, the Payment Code represents a payment code in a Payment account. ResCenter uses the Payment Code to automatically generate an interest payment transaction to be transferred into a deposit account. |
Reset Code |
The code that categorizes a reset transaction, used primarily for the Reset Patron FT Balance batch function or task. |
Active |
A check indicates the Transaction Code is enabled and available for use. |
Default Transfer |
A check indicates the Transaction Code is a default “transfer in” or “transfer out” Transaction Code for the account. These codes are automatically selected when moving money between accounts—such as applying payments to charges, for example. |
Option |
Description |
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Click the First Page, Previous Page, Next Page, or Last Page arrows to navigate the pages of the grid. |
Add |
Click Add to add a transaction code. |
Edit |
Click Edit next to a transaction code to make changes to the transaction code. |
Delete |
Click Delete next to a transaction code to delete the transaction code. |