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Field | Description |
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Practice | The practice for which the payment batch is associated. |
Payment Batch ID | The unique identification number of the payment batch when it is created. |
Payment ID | The unique identification number assigned to the payment when it is created.
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Remitter | The name of the payer, person, or organization that issued the payment.
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Check Number | The check number of a remitted check.
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Check Date | The date on the remitted check.
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Deposit Amount | The amount of the remitted check.
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Distributed - Line Items | The amount from the deposit that was posted directly to service lines.
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Distributed - On Account | The amount from the deposit that was posted as a credit balance to On Account.
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Distributed - Suspense | The amount from the deposit that was posted to Suspense off of the active AR.
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Distributed - External Collections | The amount from the deposit that was posted off of the active AR to external collections service lines.
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Distributed - Misc Income | The amount from the deposit that was posted to Misc Income off of the active AR.
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Reversals - On Account | The amount of payments reversed from service lines to On Account.
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Recoup | Sum of all recoups created from the associated check.
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Accounting Date | The accounting date/posted date for the deposit activity, based on the Date Mode filter option selected.
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Option | Type | Required | Description |
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Date Mode | Drop Down | Yes | Determines how the results are grouped and ordered:
Date options include:
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Practices | List Selection | No | Filters by all practices or one or more practices for which payment batches exist. By default, this filter is set to All. |
Report Folder | Drop Down | Yes | Designates where to place or save the output from the executed report. |