Skilled Nursing Facilities

Trust Portal Overview

The Trust Portal provides access to the trust processing features. Under Current Posting Period, you can verify the current posting month and year for the trust module. This is also where the trust manager closes the current period and advance the system to the next month after the accounts are reconciled. The trust manager can enter cash withdrawal transactions in the Cash Box that mirror the facility's trust petty cash fund, if applicable.

Under Open Trust Batches, the trust manager can click on 4 batch links (deposit, interest, pay bills, and withdrawals) to begin creating a trust batch. Under the Control Account section, the trust manager can transfer money from one control account to another control account. Trust statements are generated under the Statement section. The Interest 1099 section is where the trust manager generates the 1099 annual forms.