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Transferring debtor balances

Use the Transfer Debtor Balances program to transfer debtor balances from one financial database to another.

For example, if your organisation has more than one financial entity, such as a swimming school which bills separately to the main organisation, you may want only the main organisation to collect the owed fees. You can transfer the balance owed from the swimming school so it appears on the debtors' statements from your main organisation.

Note: The Transfer Debtor Balances program does not run automatically; you need to run it each time you want to transfer balances.

Also see Synergetic Financial Configuration - Debtors tab in the Finance manual.

Opening the Transfer Debtor Balances window

Transfer Debtor Balances window key fields and buttons

Selections area fields

Field

Description

Transfer to Database

Database to transfer debtor balances to. This is usually the main finance database of your organisation.

Fee Code

Fee code that appears on the transfer transactions. For example, Transferred from Swimming School.

Note: This fee code appears on debtor statements.

Date to Appear on Transaction

Date that appears on the transfer transactions.

Posting Information area fields

Field

Description

Posting Date

Date of the posting for the transfer transactions.

Description

Description of the posting for the transfer transactions.

Buttons

Button

Description

OK button

Transfer any outstanding debtor balances.

Cancel button

Close the Transfer Debtor Balances program without transferring balances.

Last modified: 26/04/2017 4:53:20 PM

See Also

Debtors

What's new to Debtors

Overview of processing debtors

Maintaining debtors

Maintaining debtor fees

Entering debtor charges

Entering cash receipts

Electronic banking

Automatic Tuition

Applying automatic charges

Applying student class charges

Creating student course charges

Creating student transport charges

Creating student overdue object loan charges

Applying debtor overdue charges

Applying instalment charges

Printing and emailing debtor statements

Managing overdue accounts

Maintaining enrolment deposits

Updating student concessions

Adding debtors in bulk

Archiving debtors in bulk

Creating next year payment plans

Running key Debtor Crystal Reports

Running key Enrolment Deposit Crystal Reports

© 2017 Synergetic Management Systems. Published 20 July 2017.

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