Buckle your seatbelt for a fast ride through:

Similar documents
Fasten your seatbelt for a quick trip through:

Connecting Time Matters/Billing Matters and QuickBooks. 35*45 Consulting - Global 7 Second System

Quick Start Guide. Taking A Payment & Printing A Receipt

WDMCS Online Payments (TouchBase) Making a Transaction

Links Modular Solutions Version Release Notes

ASB SUPPLEMENTAL TRAINING MATERIAL

Electronic Payments & Statements (EPS) Frequently Asked Questions (FAQs)

A Dynamic Payment Platform For Your Campus

Copyright Wolf Track Software

Penny Lane POS. Basic User s Guide

GETTING STARTED WITH QUICKEN with Online Bill Pay 2010, 2009, and for Windows

WEB POS USER GUIDE. Phone: Extension Version 2.0. Magento Compatibility: CE 2.0.

APPOINTMENT REPORTS APPOINTMENT TYPE REPORT LAST MONTH S ACTIVITY LAST MONTH S APPOINTMENT TOTALS... 44

Bulk payments made easy with ABA files

Engaging campus experience with transaction solutions CACUBO annual meeting

Virtual Terminal User Guide

In this module, you will learn to place tickets on hold and sell tickets to a customer.

QUICKBOOKS ONLINE ACCOUNTANT. QuickBooks Online Certification Training Guide

The Force is Strong With This One Darth Vader, Star Wars Episode IV, Quick Start Page 1 of 14 Workamajig

Table of Contents. Welcome to igo Figure...1 About this Guide...1 What does igo Figure do?...1 What is Expected of Me?...1

CommBank Small Business app User Guide

QUICKBOOKS ONLINE CERTIFICATION COURSE. Supplemental Guide. Module 4: Common Workflows Sales

HealthEquity Employer Portal Guide HealthEquity All rights reserved.

Pocket Salon Booking. salonbiz.com

Payment Manager Users Guide - Updated 011/1/2012

Greentree. Financial Management

BHP Billiton - Mt Arthur Inductions Pegasus Safety Inductions Booking Portal User Guide Booking Inductions for Contractor Administrator

Tip #1: Data Entry Tricks Practice these tips in my Core Training Interactive Tutorial

Group Client Payments on MCO

1z0-334.exam. Oracle. 1z Oracle Financials Cloud: Payables 2016 Implementation Essentials. Version 1.

Foreword. Sales Associates Managers

Commuter Benefits Overview. Why Commuter Benefits? How Does the Program Work? Let s get started! Registration is Simple

Rail Industry Woker Safety Management Portal User Guide - Employee Registration

Contents OVERVIEW... 3

Using PAYD Pro Plus for Gift Cards

FINANCE DIVISION Revenue Management. Presenter: Louie Muller Date:04 November 2015

Auto Integrate User Guide

USER MANUAL. U.S. Network Wholesale Marketplace

If at any time you have any questions after trying to create your product, please use the Support or Chat link on the WERCSmart site.

Reporting and Dashboards

Blue Jackets A GUIDE TO USE YOUR SEASON TICKET CARD

PayAnywhere and Phone Swipe.

Session 4-2 Sage 100 Contractor: System Reconciliations

DOCUMENT EDIT/VOID RULES (When Editing and/or Voiding documents once entered into the system) PURCHASING

Virtual Remit SM Scanner Ordering Guide

MASTERS OF DISTRIBUTION HOW TO ADVERTISE ON

Travel and Expense-Expense Report

Whether you take in a lot of money. or you collect pennies

QuickBooks Practice Test

Contents OVERVIEW... 3

School Cash Enterprise Solution is the most feature-rich, robust, and easy-to-use school cash management software available.

WELCOME TO SANTANDER TREASURY LINK

BOA Works P-Card System

SMALL BUSINESS ACCOUNTING. User Guide

Online Services. A quick guide. This short guide gives you an overview of Online Services including the different functions available.

How do I Reconcile MCPS Invoices?

QuickBooks Stephen L. Nelson

QuickBooks Stephen L. Nelson

TurboCASH Business Class

RB8 Training Orientation Essential Training overview 1 Recommended Lesson Plans By Department 1

GACE Teacher Leadership Registration Quick-reference Guide Last Updated July 1, 2015

My Commuter Check Employee Quick Guide

FREQUENTLY ASKED QUESTIONS

Register App Training Guide

Automatic reconciliation in Xero for Single and Repeating Invoice payments through IntegraPay

BillQuick-QuickBooks Advanced Integration Guide 2016

Reading Sample. Banking. Contents. Index. The Authors. First-hand knowledge.

Gartner Events On Demand Quick Guide

Making PayPal work for you. Welcome Kit

Sage MAS 90 and 200 Product Update 2 Delivers Added Value!

WELCOME TO CURVE - LET S GET STARTED

SEASON TICKET EXCHANGE

Authorize.Net Mobile Application

MARKET LINE COMPUTERS TOTAL RENTAL USER MANUAL

SALES 1 PREPARATION 2 CONTACT MANAGEMENT. Use the Marketing Guide to help determine if & how any kind of business will use temps.

Sage 100 Direct Deposit. Getting Started Guide

PAYD Pro Plus In-Store Solution

Company Activities Part II

Fundraisers at your Fingertips

FOR MORE INFORMATION:

CHAPTER 10 ACQUISITION AND PAYMENTS

HOW TO USE TAULIA USER GUIDE

MONTH END CLOSING INSTRUCTIONS FOR ACTUALS LEDGER

Sage 500 ERP Year-end Closing Procedures

BHP BILLITON. Contractor Management System. User Guide for Booking Inductions - Contractor Administrators

Quick Start Guide Coles Product Catalogue

A hands-on session to teach/review implementation steps for Asset Management. This session will also cover some new enhancements.

Daily Operations Guide

E-INVOICING Action Required: OB10 Registration

The VAT Edition. I understand my VAT. Piece of cake! Sage 50 Accounts 2014 Version differences

3M Ariba Light Account Network Collaboration for Suppliers

integrate 2 Business Process Redesign: Business Process Recommendations General Ledger Accounting May 31, 2013

New Consultant Orientation: Part One, Successful Beginnings

Kraft Heinz Accounts Payable Update Electronic Invoicing

Front Office Training Manual

Accounts Receivable Invoicing

01/18/2018 Blackbaud Altru 4.5 Tickets US 2018 Blackbaud, Inc. This publication, or any part thereof, may not be reproduced or transmitted in any

IMS Funds Receivables Billable Party Maintenance/Summary & Affiliate Summary User Guide

Professional Development Center (PDC)

K8 Documentation Introduction To Sales Order Processing

Transcription:

SKYWARD icon 2017

Buckle your seatbelt for a fast ride through: The Mobile-Friendly RevTrak Web Store Quick Connect Reconciliation RevTrak and Qmlativ Update

RevTrak Quick Connect with Skyward and the completely Mobile Friendly Web Store

Parents have TWO options: 1. Via SFA Two logins: SFA, then RevTrak to check out

Parents have TWO options: 2. Straight to RevTrak from district website One login: To RevTrak (no SFA login after 1 st payment)

Mobile Friendly Look

Mobile Friendly: Skyward Quick Connect View all Food and Fee accounts for all students on one screen. Content will adjust to available screen size. NOTE: Mobile friendly RevTrak home and checkout screens arriving soon

Add any amount to Food Service accounts or quickly add a suggested preset. Click Add to Cart.

Parents will see the balance has changed when they add an amount to pay.

Add other items to Shopping Cart.

Parents can shop for many other items before checkout. Checkout, RevTrak updates Skyward in real-time.

View Updated Payments

RevTrak Quick Connect also works with the current Web Store

Parents have TWO options: 1. Via SFA Two logins: SFA, then RevTrak to check out

Parents have TWO options: 2. Straight to RevTrak from district website One login: To RevTrak (no SFA login after 1 st payment)

Mobile Friendly: Skyward Quick Connect View all Food and Fee accounts for all students on one screen. Content will adjust to available screen size. NOTE: Mobile friendly RevTrak home and checkout screens arriving soon

Add any amount to Food Service accounts or quickly add a suggested preset. Click Add to Cart.

Click on student s name to add required and optional fees. Go to Checkout when done.

Parents can shop for many other items before checkout (if district is selling other items). Checkout, RevTrak updates Skyward in real-time.

View Updated Payments

Ready to make a switch? To get Quick Connect installed, email ezhelp@revtrak.com

RevTrak Web Store: Other types of payment items

New Product Pages Drop downs for collecting info (like size) and/or changing price (number of tickets, etc.)

Any Amount Items Collect Info

Enter Last Name and ID to identify student Address Block

CAN RECONCILIATION BE EASY? YES!

RevTrak Reporting Tools RevTrak Portal Use for: All Reconciliations: Bank (Single & MDA s) Food Service Fee Management Skyward Finance Posting Report Parent s payment records Voids and Refunds

Reconciliation: Start to Finish 1. Reconcile Bank Statement 2. Reconcile RevTrak to Skyward 3. Update Finance

3 Easy Steps BANK RECONCILIATION (OFTEN PERFORMED 1 ST OF MONTH) 1. Pull a report for a range of dates to find the first and last deposits showing on your current bank statement. 2. Re-run the RevTrak report for the correct dates. 3. Compare totals with your bank OR lay the RevTrak report side by side with your bank statement. Will reconcile to the penny. If not, call your RevTrak specialist and we will resolve. If it takes longer than 10 minutes - call us!

Bank Reconciliation

Bank Reconciliation: Step 1 Select account to be reconciled to the bank. Run range of dates. Pull a report for a range of dates to find the first and last deposits showing on your current bank statement. A good starting date range is from the 25 th of the previous month to the end of the month being reconciled. In the above example, we are trying to reconcile February, so we used 1/25/2016 to 2/29/2016.

Bank Reconciliation: Step 2

Bank Reconciliation: Step 3 Compare totals with your bank statement OR lay the RevTrak report side by side with your bank statement and tick off the deposits. Will reconcile to the penny. If not, call us!

It s a piece of cake! Bank Statement Reconciled

RevTrak Merchant Statement Arrives via email within the first 5-business days of month Bill for Services. Details RevTrak deposits. Compare to RevTrak Deposits by Date Shows total of RevTrak fees to be debited

Arrive via email: Merchant Statements

RevTrak Merchant Statement

Fees Owed

Daily Deposits BEFORE: Always one-day difference: Will match RT Reports from 1/31 to 2/28. NOW (as of Sept, 2016): Will match RT Reports from 2/1-2/29.

Merchant Statements RevTrak debit for fees occurs two business days after district receives the statement. Use the Merchant Statement to know how much the debit is going to be for last month s fees. Make sure there is enough money in the bank account(s) to cover the debit for fees.

It s a piece of cake! Merchant Statement Audited

Skyward Food Service Reconciliation Option #1: Using Skyward Food Service Report

Step 1: Run RevTrak Report

Summary Report

Detailed Report

Step 2: Find the Skyward credit card payment totals in the Food Service module Login to Skyward Click Student Management Click Food Service Click Reports

Step 2 continued Click Payment Totals Report Enter Template Description (if desired) Enter yesterday s date Choose P=Payment Check Credit Card Entry Click Save Click Print

Reconciled! Option #1

Detailed Reconciliation Skyward: RevTrak:

It s a piece of cake! Skyward Food Service Reconciled in 10-minutes or less!

RevTrak/Skyward Fee Management Reconciliation (Quick Connect Integration)

Options for Reconciliation Centralized for Entire District: All Entities De-centralized: One Entity

Step #1: Run the Fees Paid Report Skyward Fee Mgt. > Administration > Reports > Fees Paid Report Your screen may look like the above for Entity choices, depending on your permissions. Reconcile by campus or entire district. Use Fee Management Reports (NOT Family Access Reports)

Step #2: Skyward Fees Report in the RevTrak Portal Remember, payments happen 24 hours per day. Don t use today s date in either field.

Step #3: Compare RevTrak to Skyward, all entities If reconciling entire district, compare the RevTrak s Sub Total to your Skyward report.

Step #3: Compare RevTrak to Skyward, one entity Compare the totals by Entity. If you want to see the detail, re-run the RevTrak Report with Summary unchecked.

It s a piece of cake! All Fee Payments Reconciled

Skyward Finance Extract Posting file created by RevTrak Users manually import the file to Cash Receipts module of Skyward Finance SkyBuild-Skyward Web Import Module

Example of Posting File:

Three Steps to Complete the Upload 1. Download the RevTrak posting file and REVIEW the file. 2. Attach the file to Skyward Cash receipts template, upload the file and VERIFY. 3. Create the Skyward batch and POST.

Time for Cake! In just a short time we have: Reconciled the bank statement for RevTrak payments Noted the Merchant Statement in preparation for the debit for fees Compared RevTrak s report of payments to Skyward s, penny perfect! Prepared a file to upload to Skyward Finance

RevTrak and Qmlativ Update

Questions? Email ezhelp@revtrak.com

Thank you for attending!

RevTrak/Skyward Reconciliation (Legacy Integration) Note: this process does Food Service as well, not just Fee Management.

Options for Reconciliation Centralized for Entire District: All Entities De-centralized: One Entity

Step 1: Run Integration Reconciliation Report (works for all integrations).

Centralized Districts: compare Grand Total from RevTrak to Skyward. De-Centralized Districts: compare total for your site to Skyward.

Step 2: Run the matching Skyward Report Entire District Use Family Access Reports (NOT Fee Management Reports)

Step 3: Compare Reports To reconcile one entity: This process reconciles food and fees. Use the Skyward report to see the subtotals by Food Service and Fee Management.

It s a piece of cake! All SFA Payments Reconciled (Not just Fees)

Questions about Reconciliation? Please contact ezhelp@revtrak.com We will determine what you need, send you step-by-step guides, and personally hold your hand (virtually) through the training.