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COM-FSM > SIS Documentation > Forms and Reports > Accounts Receivable > Cashiering
CashieringTable of contentsNo headersEach user who creates entries on student accounts simultaneously creates or modifies a cashiering session. These sessions are used to organize and manage account entries in a way that allows verification and adjustment, and to control the flow of information to an external accounting system (MIP). Sessions are numbered sequentially for each user, and progress through a series of states:
Sessions can not move backwards through these states. Indicating that sessions have closed, cleared, or been released are permanent actions. Three forms are used for cashiering session management, and can be found in the "Supervisor" menu under A/R:
When a cashiering session is cleared, the application of payments process is automatically used to apply credits to debits on each account present in the session. |