- Billing Tab
- Deposit(s)
- Search by All or Open
- Search by a Payor
- Search by a Check number
- Search by a Deposit Range
- Search by a Check Range
- View
- To add a New deposit, click on Add Deposit
- Choose Payor or Client
- Select the Payor or the Client name
- Check #, Credit Card #, Cash (CASH-name)
- Deposit Date = entered into WebABA
- Instrument Date = Check Date
- Client Deposit Date = Date it was deposited into your bank
- Choose file and upload a copy
- Payment Method = Check, Cash, EFT, Credit Card, or Credit Memo
- Amount that is being deposited
- Save
- Check the box
- Choose Apply to apply the payment, Edit if you need to go back to the previous screen to add a note, Delete to start again, or Detail to see the deposit information at bottom of screen. Click OK.
- Unapplied amount that will zero out once the payments have been applied.
- Select the client that the Payor is paying on.
- Included closed, in case they are recouping, or overpaying
- Beginning date range to narrow down the pay lines on next screen
- Ending date range
- Click on Show
- Enter in your payment and TAB
- Enter in adjustment if there is one and TAB
- Reason = Choose what fits
- Status = Choose what fits
- RED = Prior deposit made. (include closed)
- This will count down your payment to zero
- Save
When payment has been applied the unapplied is 0.00
- If you want to see the details of a deposit.
- Click OK
- If you need to revert the payment and apply it differently.
- Click OK