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UB Add Bank Account to a UB Customer Account

Updated on

Summary

Add a bank account to a UB customer account to process the account in a Direct Debits batch (CH> Direct Debits). Billing statements generated on the customer account will display as paid because payment will be received using a Direct Debits batch.

In order to add bank information to a customer account the bank must be set up in the Bank Maintenance window (SS> Maintenance> Bank).

Step by Step

 

1     Open a UB customer account (UB> Maintenance> Account> Open an account).

 

2     Enter a bank account on the customer account.

  • Bank information is maintained on the Account tab> ACH sub-tab.
  • Enter bank account information on the customer account.
    • Enter the bank account number in the Account Number field.
      • Only the last four digits of the bank account number will display on the Account Master Maintenance window after the bank information has been entered and saved.
    • Click the Bank Code field label to select a bank. The routing number will be pulled from the bank record.
      • Banks are created and maintained on the Bank Maintenance window (SS> Maintenance> Banks).
    • Select a type of bank account in the Account Type drop-down menu.
    • After the bank account has been processed in a Direct Debits pre-note batch (CH> Direct Debits> Generate Pre-Note) the Clearing House Pre-Note toggle will be checked. Customer accounts that have this toggle checked will not be included in a pre-note batch. You can manually check this toggle if you do not want to process the bank account information through a pre-note batch.
      • A pre-note batch is used to verify that the bank account information is correct before transactions are processed on the customer bank account.
    • Click the Save icon to save the changes to the window.
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