If you are using Cash Receipting
to receipt court payments, follow these instructions to balance court
payments and cash bail receipted.
Once a day, complete these tasks.
1. Print the Cash Receipting Payment Register for the current date. (Connect Cash Receipting > Reports > Payment Register)
2. Print the Cash Receipting Receipt Register for the current date. (Connect Cash Receipting > Reports > Receipt Register)
3. Do the payments received on the Payment Register match the payments on the Receipt Register?
Yes, the report totals match. That's good news. Move on to the next step.
No,
the report totals do NOT balance. Track down the missing payment or
receipt and then use Cash Receipting to enter the missing information.
The report totals must balance before you continue.
Run Connect Cash Receipting >
Payments > Update Payments to update court payments to the Court Management
application. Set the Print option
to select Report. You'll need
the Update Payments Report for Step 3.
1. Print the Court Management Payment Register for the current date. (Connect Court Management > Reports > Payment Register)
2. Does the Cash Receipting Update Payments Report (from Step 2) balance with the Court Management Payment Register?
Yes, the reports balance. You're good. Move on to the next step.
No,
the reports do NOT balance. Start by comparing the case number and
the payment amount on both reports to ensure that each payment has
updated correctly.
If the amount is different, use Case > Enter Payments to display
the case number so you can edit the sequence.
Is there a missing payment? Use Case > Enter Payments to add the
payment to the case.
If you are using Cash Receipting to accept court payments, you can
also use Cash Receipting > Payments > Update Payments to update
a missing receipt to the Court Management application.
Is there a category set up for Cash Bail in Cash Receipting? If there is a Cash Bail category, complete this step. If a Cash Bail category is not set up in Cash Receipting, you're done. You can skip this step and Step 5.
Use Connect Court Management >
Cases > Setup Trusts to add the cash bail information to a case.
Print the New Trust report for the current date.
Do this...
1. Print the Payment Register for the current date. (Connect Court Management > Reports > Payment Register)
Note: You can also substitute the Payment Register, which includes new trust amounts, for the New Trust Report.
2. Does the new cash bail on the New Trusts Report match the items receipted in the Cash Bail category from the Cash Receipting Updated Payments Report (from Step 2)?
Yes, the reports balance. You're done.
No,
the reports do NOT balance. Begin by comparing the trust amount to
the trust amount on the Cash Receipting Payment Register. If the amount
is not correct, or the trust is missing, use Cases > Setup Trusts
to modify the amount or add the missing trust.
If there are extra trusts, use Cases > Setup Trusts to delete them.
Each day send the GL clerk a copy of the Cash Receipting Receipt Register.
1. Open Connect Court Management > Organization > Update General Ledger.
2. Fill in the options on the form. Use the sections in this help topic to fill in each field. The fields are listed in alphabetical order.
3. Click GO
(CTRL+G).