The procedure to create a new company BACS account is as follows:
- Navigate to Quick Menu > Rents > Configuration > BACS Account Setup. The BACS Account Setup window is displayed.
- Click on New BACS Account
1. All fields are activated ready for data entry.
- Using the Company drop-down field, select the company to which this BACS account is linked.
- Enter a Description for the BACS account into the field provided
2.
- Select the corresponding Sort code for the BACS account using the spy-glass icon (
), or type in the value directly i.e. the unique six digit identifier for the bank and branch combination. The Search Bank Branch window is displayed.
- Enter sufficient bank branch details into the fields provided and click on Search. The Search Bank Branch Results window is displayed, returning all possible matches.
- Activate the Select tick box against the row containing the exact record match or use Refine Search to enter different criteria; click on Confirm.
- Enter an Account reference for the BACS account into the field provided i.e. an internal reference for the bank account into which direct debit payments will be received.
- Enter the Service User Number into the field provided i.e. the unique Originator Identification Number (OIN) issued to the housing organisation as part of the direct debit application process.
- Using the DDI mandate communication definition drop-down field, select an appropriate communication definition to be employed i.e. the written agreement issued to the tenant, authorising the housing organisation to take rent payments at agreed intervals.
- Using the Schedule communication definition drop-down field, select an appropriate communication definition to be employed i.e. the written confirmation of the direct debit payment schedule.
- Using the Valid week days drop-down field, multi-select all days of the week that will be eligible for direct debit payment processing, or choose the All option, as required
1.
- Using the Valid month dates drop-down field, multi-select all dates on which a direct debit payment may be collected, or choose the All option, as required.
- Using the Suspense account drop-down field, select the 'holding area' account employed for any payments where the identification is unclear.
- Enter the Payment batch output file path into the field provided i.e. the destination folder for all direct debit payment batch files.
- Using the BACS processing calendar drop-down field, select the desired calendar to steer the BACS submission framework.
- Where
AUDDIS is employed by the housing organisation to send new direct debit instructions to their tenants' banks electronically, activate the Use AUDDIS? tick box provided; enter the supporting AUDDIS batch output file path into the field provided.
- Choose an Effective from date for this BACS account i.e. the date on which it came into effect
3.
- Choose an Effective to date if the BACS account is to be reviewed on a specific date or to capture a change of circumstances; a blank field means the BACS account will be continually valid.
- Click on Save
4. The new BACS account is displayed in the alphabetical list
5.
Tip
1 Where only a small number of parameter values are not required, activate the All tick box first and then deselect individual items from the full list, as required; the All tick box will be automatically removed once an item is deselected.
Note
1 Upon first access, all fields are automatically activated ready for data entry; hence the New BACS Account button is inactive.
2 System validation rules ensure that the description entered for each BACS account is unique for the effective period.
3 The Effective from date defaults to the current system date and cannot be left blank.
4 The Created by and Created date fields are automatically populated with the name of the end user creating the BACS account and current system date respectively.
5 To amend the details of an existing BACS account, select an account from the alphabetical list (or type its name into the Search BACS Account field) and repeat steps 5 through 20. By default the list is filtered to show Current BACS accounts. An alternative filter can be applied using the Select view drop-down field: Expired, Future or All combinations.
See related topics...
Direct debit mandates overview
To create a new bank branch
To create a new direct debit payment batch