Mi h llMichelle HkiH askin · Accounts Payable Change Chkheck Numb/ iber/Reprint Chkhecks • New...

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Wow! We can do that? Wow! We can do that? Mi h ll H ki Michelle Haskin

Transcript of Mi h llMichelle HkiH askin · Accounts Payable Change Chkheck Numb/ iber/Reprint Chkhecks • New...

Page 1: Mi h llMichelle HkiH askin · Accounts Payable Change Chkheck Numb/ iber/Reprint Chkhecks • New fields added to A/P parameter file. • Call GL1501 to access A/P parameter file.

Wow! We can do that?Wow!  We can do that?

Mi h ll H kiMichelle Haskin

Page 2: Mi h llMichelle HkiH askin · Accounts Payable Change Chkheck Numb/ iber/Reprint Chkhecks • New fields added to A/P parameter file. • Call GL1501 to access A/P parameter file.

Accounts Payable h h k b / i h kChange Check Number/Reprint Checks

• GL1530 A/P Check Maintenance• GL1530 A/P Check Maintenance.

• Allows you to change the check numbers f i l h k f h kfor a single check or a group of checks.

• Enter beginning check number & ending check number OR enter the date range. 

• To renumber a single check number click on gcheck number and enter new number.

Page 3: Mi h llMichelle HkiH askin · Accounts Payable Change Chkheck Numb/ iber/Reprint Chkhecks • New fields added to A/P parameter file. • Call GL1501 to access A/P parameter file.

Accounts Payable h h k b / i h kChange Check Number/Reprint Checks

• To renumber a range of check click on the• To renumber a range of check click on the Renumber batch button and enter the first check new check numbercheck new check number.

• From this screen you can also reprint a b t h f h kbatch of checks.

• New file created when checks are written GLAPCKH.

Page 4: Mi h llMichelle HkiH askin · Accounts Payable Change Chkheck Numb/ iber/Reprint Chkhecks • New fields added to A/P parameter file. • Call GL1501 to access A/P parameter file.

Accounts Payable h h k b / i h kChange Check Number/Reprint Checks

• New fields added to A/P parameter file.  / p

• Call GL1501 to access A/P parameter file.

• A/P Check program enter your bank’s• A/P Check program – enter your bank’s check program here, if not sure contact supportsupport.

• Days to retain check history – enter the b f d h hnumber of days history that you want to 

keep to use if needed to reprint/renumber.

Page 5: Mi h llMichelle HkiH askin · Accounts Payable Change Chkheck Numb/ iber/Reprint Chkhecks • New fields added to A/P parameter file. • Call GL1501 to access A/P parameter file.

Accounts Payable – ACH/EFTAccounts Payable  ACH/EFT

• You can pay vendors via ACH/EFT direct deposit• You can pay vendors via ACH/EFT direct deposit. 

• To do this setup the vendor with the account number & account type to creditnumber & account type to credit.

• Then setup and EFT:– Use the same account number as the debit but useUse the same account number as the debit but use account type of A.

– Set use A/P transfer amount = Y.  

– Choose the Before/After code. 

– Setup the ACH information as normal.

l b d d b k– Can also be deposited to in‐bank account.

Page 6: Mi h llMichelle HkiH askin · Accounts Payable Change Chkheck Numb/ iber/Reprint Chkhecks • New fields added to A/P parameter file. • Call GL1501 to access A/P parameter file.

Printing ACH Addenda RecordsPrinting ACH Addenda Records

• BK6000 Print notices• BK6000 – Print notices.

• AC1601 ACH Addenda notice.

• Prints a notice containing the addenda information.

• Run the Print notices program and select by date, SEC or account number.

Page 7: Mi h llMichelle HkiH askin · Accounts Payable Change Chkheck Numb/ iber/Reprint Chkhecks • New fields added to A/P parameter file. • Call GL1501 to access A/P parameter file.

Reprint noticesReprint notices

• Reprint today’s notices BK6000 select• Reprint today s notices – BK6000, select notice & branch.

R i i d ’ i BK6003• Reprint prior day’s notices – BK6003.– Enter date to print.

– Enter branch number if needed.

Page 8: Mi h llMichelle HkiH askin · Accounts Payable Change Chkheck Numb/ iber/Reprint Chkhecks • New fields added to A/P parameter file. • Call GL1501 to access A/P parameter file.

Information Distribution SystemInformation Distribution System

• BK1811 Reprint today’s reports for a• BK1811 – Reprint today s reports for a distribution point.

BK8505 Di l /P i b• BK8505 – Display/Print reports by distribution name.

• BK8506 – Display/Print reports by report ID.

• BK8507 – Display/Print reports by p y p ydefinition.

Page 9: Mi h llMichelle HkiH askin · Accounts Payable Change Chkheck Numb/ iber/Reprint Chkhecks • New fields added to A/P parameter file. • Call GL1501 to access A/P parameter file.

Information Distribution SystemInformation Distribution System

• BK8505/BK8506/BK8507 all have toggle• BK8505/BK8506/BK8507 all have toggle buttons within the screen that will display the other viewsthe other views.– You can select within each program:

Display allDisplay all

Distribution Point

Report IDReport ID

Report description

Page 10: Mi h llMichelle HkiH askin · Accounts Payable Change Chkheck Numb/ iber/Reprint Chkhecks • New fields added to A/P parameter file. • Call GL1501 to access A/P parameter file.

History Inquiry on Deposits, General d &Ledger & Loans

• Added toggle button to toggle between the• Added toggle button to toggle between the two line display & one line display.

Th li di l ill h h• The two line display will show the description of the item.

Page 11: Mi h llMichelle HkiH askin · Accounts Payable Change Chkheck Numb/ iber/Reprint Chkhecks • New fields added to A/P parameter file. • Call GL1501 to access A/P parameter file.

Tiered Rate Codes with VariancesTiered Rate Codes with Variances

• Works with Loans & Deposits• Works with Loans & Deposits.

• Allows you to have a tiered rate with a V i h I M h d L lVariance at the Interest Method Level.

• Also allows you to have a variance at the account level.   

Page 12: Mi h llMichelle HkiH askin · Accounts Payable Change Chkheck Numb/ iber/Reprint Chkhecks • New fields added to A/P parameter file. • Call GL1501 to access A/P parameter file.

Tiered Rate Codes with VariancesTiered Rate Codes with Variances

• Example:• Example:– Interest Method is tiered

• 0 00 to $10 000 00 = Rate code ABC• 0.00 to $10,000.00  = Rate code ABC

• $10,000.01  to $100,000.00 = Rate code ABC + .25%

• $100,000.01 up = Rate code ABC + .50%

• ABC Rate = 2.00%

– Account is setup with a variance of 1.00% +.

A b l i $50 000– Account balance is $50,000.

– Effective rate on account = 3.25%• 2% + .25% + 1%.

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CISCIS

• You have the ability to add additional short• You have the ability to add additional short names to a CIS record for search purposes.

U f l if i k b h i• Useful if a customer is known by their middle name or a nick name:– Mayo Kasling   Short name: Kasling Mayo

– AKA   Bubba Kasling   Alternate short name: l bbKasling Bubba.

Page 14: Mi h llMichelle HkiH askin · Accounts Payable Change Chkheck Numb/ iber/Reprint Chkhecks • New fields added to A/P parameter file. • Call GL1501 to access A/P parameter file.

Privacy LabelsPrivacy Labels

• CS1755 Generate N&A for privacy labels• CS1755 – Generate N&A for privacy labels.

• Allows you to include or omit:– Class codes

– Relationship codes

– Product codes

– Insider codes

– Mail codes

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Privacy LabelsPrivacy Labels

• Also allows you to bypass any accounts that have• Also allows you to bypass any accounts that have a DDA and/or Savings account.

• This allows you to put statement stuffers in theThis allows you to put statement stuffers in the DDA/SAV and not mail a notice to the customer.

• You must choose select or omit on all screens,You must choose select or omit on all screens, even if you leave it blank.

• You have to select or omit one criteria.

• See document on client zone for more detailed instructions.

Page 16: Mi h llMichelle HkiH askin · Accounts Payable Change Chkheck Numb/ iber/Reprint Chkhecks • New fields added to A/P parameter file. • Call GL1501 to access A/P parameter file.

LabelsLabels

• CS1700C Generate label file• CS1700C – Generate label file.  – Use query to select group of accounts.

S l t l CIS k t b t t t fil i– Select only CIS key to be output to file in query.

– Output to a file, QQRYOUT in xxxGPL, where xxx your dat prefix library such as DEMDATxxx = your dat prefix library such as DEMDAT, would be DEMGPL.

• CS1750 Print labels• CS1750 – Print labels.

Page 17: Mi h llMichelle HkiH askin · Accounts Payable Change Chkheck Numb/ iber/Reprint Chkhecks • New fields added to A/P parameter file. • Call GL1501 to access A/P parameter file.

Service Charge Waive DateService Charge Waive Date

• This field can be found at the account level• This field can be found at the account level.

• This will waive the service charge on an account until this date has passeduntil this date has passed.

• Useful on new accounts that are opened within a few days or partial month.few days or partial month.

• Useful when you have agreed not to charge a customer a monthly service charge for x number y gof days such as a student or promo account.

Page 18: Mi h llMichelle HkiH askin · Accounts Payable Change Chkheck Numb/ iber/Reprint Chkhecks • New fields added to A/P parameter file. • Call GL1501 to access A/P parameter file.

Alternate Service Charge/DateAlternate Service Charge/Date

• Key in alternate service charge• Key in alternate service charge. 

• Key in alternate service charge date (effective date)date).

• When the date in the alternate s/c date is reached the alternate service charge is moved to thethe alternate service charge is moved to the service charge method.

• Useful when opening account that you have a p g ypromo period or for student accounts.

Page 19: Mi h llMichelle HkiH askin · Accounts Payable Change Chkheck Numb/ iber/Reprint Chkhecks • New fields added to A/P parameter file. • Call GL1501 to access A/P parameter file.

NSF OD Fee ReversalNSF OD Fee Reversal

• DD7320 NSF OD Fee Reversal• DD7320 NSF OD Fee Reversal.

• Allows the bank to reverse a NSF or OD fee d b NSF licreated by NSF online reentry program.   

• The program will display:– 947 Returned Item Fee

– 952 Overdraft Item Fee

– 959 ODP Item Fee

Page 20: Mi h llMichelle HkiH askin · Accounts Payable Change Chkheck Numb/ iber/Reprint Chkhecks • New fields added to A/P parameter file. • Call GL1501 to access A/P parameter file.

NSF OD Fee ReversalNSF OD Fee Reversal

• This is based on the number of days of• This is based on the number of days of history your bank retains.

Y i l h f ll• You can reverse a partial amount or the full amount. 

• Amounts are placed into the DDTRAN file for credit to the customer.

• The NSF/OD totaling fields in the deposit master & month end records are updated.p

Page 21: Mi h llMichelle HkiH askin · Accounts Payable Change Chkheck Numb/ iber/Reprint Chkhecks • New fields added to A/P parameter file. • Call GL1501 to access A/P parameter file.

NSF OD Fee ReversalNSF OD Fee Reversal

Y l dd h t t• You can also add a charge to a customers account.  You might want to do this if you 

d id it d t d itreversed a paid item and returned it.

• You will be prompted for the fee amount, tran code & effective date.

• Fee tran code used:– 947 Returned Item Fee

– 952 Overdraft Item Fee

– 959 ODP Item Fee

Page 22: Mi h llMichelle HkiH askin · Accounts Payable Change Chkheck Numb/ iber/Reprint Chkhecks • New fields added to A/P parameter file. • Call GL1501 to access A/P parameter file.

NSF OD Fee ReversalNSF OD Fee Reversal

• The following fields are updated when a• The following fields are updated when a new charge is entered as necessary based on the tran code selectedon the tran code selected.– Statement Cycle Return Fees.

MTD YTD PYR & LTD O d ft F– MTD, YTD, PYR, & LTD Overdraft Fees.

– Statement Cycle Return Fees.

– MTD , YTD, PYR, & LTD Return Fees.

Page 23: Mi h llMichelle HkiH askin · Accounts Payable Change Chkheck Numb/ iber/Reprint Chkhecks • New fields added to A/P parameter file. • Call GL1501 to access A/P parameter file.

Deposit HoldsDeposit Holds

• The deposit hold screen has been enhanced to• The deposit hold screen has been enhanced to include the loan number.

• This allows you to enter the loan number that theThis allows you to enter the loan number that the account is being held for.  

• Each night during processing the system willEach night during processing the system will update the hold amount by looking at the principal amount of the loan.

• This does not include the accrued interest in the hold amount.

Page 24: Mi h llMichelle HkiH askin · Accounts Payable Change Chkheck Numb/ iber/Reprint Chkhecks • New fields added to A/P parameter file. • Call GL1501 to access A/P parameter file.

Revolving Credit LoansRevolving Credit Loans

• New option to select the day of the month for theNew option to select the day of the month for the payment due date.

• This allows you to always have the payment due on a y y p yspecific day of the month.

• With regulation changes made over the past few years, the day of the month for payment was x number of days after the cycle, which caused the payment date to vary slightlypayment date to vary slightly. 

• Account level parameter that can be defaulted at the product level.p

Page 25: Mi h llMichelle HkiH askin · Accounts Payable Change Chkheck Numb/ iber/Reprint Chkhecks • New fields added to A/P parameter file. • Call GL1501 to access A/P parameter file.

Delete Transactions from DDA HistoryDelete Transactions from DDA History

• DD7310 – Deposit transaction history• DD7310 – Deposit transaction history maintenance.

• Allows you to delete two transactions that are inAllows you to delete two transactions that are in the current statement cycle & are for the same amount.  One debit for one credit.

• History is maintained, but does not show on account statement.

• Use caution when granting access to this menu option.

Page 26: Mi h llMichelle HkiH askin · Accounts Payable Change Chkheck Numb/ iber/Reprint Chkhecks • New fields added to A/P parameter file. • Call GL1501 to access A/P parameter file.

Loan Billing NoticesLoan Billing Notices

• Send loan bill & use loan bill fields now work• Send loan bill & use loan bill fields now work separately.

• Send a Bill = Yes and Use Bill = Yes payment willSend a Bill = Yes and Use Bill = Yes, payment will post as bill states.

• Send a Bill = Yes & Use Bill = No; billing notice willSend a Bill   Yes & Use Bill   No; billing notice will be sent but payment will apply as of the date received according to the product parameters….i.e. interest to date & remainder to principal for the P&I portion.

Page 27: Mi h llMichelle HkiH askin · Accounts Payable Change Chkheck Numb/ iber/Reprint Chkhecks • New fields added to A/P parameter file. • Call GL1501 to access A/P parameter file.

Additional Loan Classified CodesAdditional Loan Classified Codes

• LN0230 – Enter/update additional classified loan• LN0230 – Enter/update additional classified loan codes.

• Enter the loan number you want to add codes toEnter the loan number you want to add codes to.

• You will then be prompted to enter the classified loan code.loan code.

• You will then be prompted to enter the percentage, amount & a description.p g , p

• File LNCLAS.

Page 28: Mi h llMichelle HkiH askin · Accounts Payable Change Chkheck Numb/ iber/Reprint Chkhecks • New fields added to A/P parameter file. • Call GL1501 to access A/P parameter file.

General Ledger BalancingGeneral Ledger Balancing

• BK5450 – Bank balancing report.

• This report is a summary of all transactions for various input sources.  Start with this report.

• Source code G = Maintenance items such as product changes – normally involves charge off or nonaccrual loans/depositsnonaccrual loans/deposits.

• Outages on IENC or AIC that are small are rounding outages Need to be moved to incomerounding outages.  Need to be moved to income or expense.

Page 29: Mi h llMichelle HkiH askin · Accounts Payable Change Chkheck Numb/ iber/Reprint Chkhecks • New fields added to A/P parameter file. • Call GL1501 to access A/P parameter file.

General Ledger BalancingGeneral Ledger Balancing

• GL2098 – Copy the current day tran files for un‐• GL2098 – Copy the current day tran files for un‐located G/L outage.

• When this program is called you are prompted toWhen this program is called, you are prompted to enter the month & day.  Enter the month/day of the day you are out of balance.

• This option copies your tran files so that the outage is easier to locate.

• Files are placed in library xxxDAT0315.

Page 30: Mi h llMichelle HkiH askin · Accounts Payable Change Chkheck Numb/ iber/Reprint Chkhecks • New fields added to A/P parameter file. • Call GL1501 to access A/P parameter file.

Cardinal WebhelpCardinal Webhelp

Page 31: Mi h llMichelle HkiH askin · Accounts Payable Change Chkheck Numb/ iber/Reprint Chkhecks • New fields added to A/P parameter file. • Call GL1501 to access A/P parameter file.