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This functionality enables automatic reconciliation of the bank statement line by simply clicking the “Automatic Reconciliation” button in the Bank Statement record. You can only reconcile the bank statement if its status is Unreconciled.

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  • Gateway Settlement’s Reconciliation Date (date) = Bank Statement Line’s Settlement Date

  • Gateway Settlement’s Payout Amount = Bank Statement Line’s Amount

>>>>> Insert SS

Once a matched Gateway Settlement record is found,

  • The Gateway Settlement record is updated where:

    • Bank Statement Line = equivalent Bank Statement Line record

    • Bank Reconciliation Status = Reconciled

    • Settlement Date = Bank Statement Line’s Settlement Date

    • Receiving Bank Account = equivalent Bank Statement LineBank StatementBank Account

>>>>> Insert SS

  • All of the Gateway Transaction records linked to the Gateway Settlement record are updated where:

    • Bank Statement Line = equivalent Bank Statement Line record

    • Bank Reconciliation Status = Reconciled

    • Settlement Date = Bank Statement Line’s Settlement Date

    • Receiving Bank Account = equivalent Bank Statement LineBank StatementBank Account

>>>>> Insert SS

  • If the Gateway Transaction record has Gift Transaction, the Gateway Transaction’s Gift Transaction record is updated where:

    • Bank Statement Line = equivalent Bank Statement Line record

    • Bank Reconciliation Status = Reconciled

    • Settlement Date = Bank Statement Line’s Settlement Date

    • Receiving Bank Account = equivalent Bank Statement LineBank StatementBank Account

>>>>> Insert SS

  • If the Gateway Transaction record has Gift Refund, the Gateway Transaction’s Gift Refund record is updated where:

    • Bank Statement Line = equivalent Bank Statement Line record

    • Bank Reconciliation Status = Reconciled

    • Settlement Date = Bank Statement Line’s Settlement Date

    • Refunding Bank Account = equivalent Bank Statement LineBank StatementBank Account

>>>>> Insert SS

  • The Bank Statement Line record is updated where:

    • Reconciliation Status = Reconciled

>>>>> Insert SS

Once the reconciliation process is done a PosiPay log is created where,

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  • The Bank Statement record is updated where:

    • Status = Reconciled

    • Date Reconciled = date today

  • A PosiPay Log record is created where:

    • Source = Bank Reconciliation

    • Details = The Bank Statement + (<Bank Statement record ID>) + record has been reconciled.

    • Type = Information

  • If one or more Bank Statement Line records linked to the Bank Statement record have a Reconciliation Status that is not set to Reconciled or Excluded, the Bank Statement record will not be reconciled.

>>>>> Insert SS

Donation with Cash and Check Payment Method Combination

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The Bank Statement Line records linked to the Bank Statement record have a Reconciliation Status as Reconciled OR Excluded and a PosiPay Log is also created.

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Cash

Please remember the following: “Multiple Bank Deposit Batch records are created with only Gift Transaction records where the Payment Method is Cash. Create a Bank Statement and generate Bank Statement Line records under the Bank Statement. Ensure that the Amount field value of each Bank Statement Line matches the Total Transaction Amount field value of each Bank Deposit Batch.”

When reconciling Bank Statements Line records via the Automatic Reconciliation button on the Bank Statement record, the Bank Statement Line records under the Bank Statement record will be reconciled and will be matched with to Bank Deposit Batch where:

  • Bank Deposit Batch’s Total Transaction Amount matched with Bank Statement Line’s Amount.

Once a matched Bank Deposit Batch is matched the Gift Transaction and Bank Deposit Batch records are updated and the Batch Statement Line Reconciliation Status is updated to Reconciled.

  • The Bank Statement Line is equivalent to the Bank Statement Line record.

  • The Bank Reconciliation Status is updated to Reconciled.

  • Settlement Date displays the Settlement Date of the Bank Statement Line.

  • Receiving Bank Account displays the Bank Account linked to the Bank Statement Line in the Bank Statement.

Gift Transaction

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Bank Deposit Batch

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Bank Statement Line

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After the reconciliation process of Bank Statement Line records, a PosiPay Log is created.

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