Skilled Nursing Facilities

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Manually Posting EFT Cash Receipt Batches at the Facility Level

Electronic Fund Transfer (EFT) cash batches that were created manually can be posted at the facility level for single facilities and multi-facilities. All manually created batches needs to be posted before exporting the batch to the bank.

  1. Admin > Billing > Cash Receipt Batches.

  2. Select the appropriate Open EFT Cash Batch.

  3. Click post

    • Instructions: shows Enter posting date and review batch totals. Current System date is: shows current month and year of current system posting period.

    • Posting Date: defaults to first day of month of current system posting period

    • Entered Total: defaults to the total amount of the batch.

    • Batch moves from Open status to Posted status.

  • Transactions generated for posted EFT batches are included on the existing Transaction History report.