Post Payments
You can post payments for a student on the ledger card. You can post payments from students, third parties, and other fund sources, or apply payments to open items in the student ledger or subsidiary ledger. The Post Payments process can handle scheduled payments from various fund sources. Payments can be linked to enrollments, terms, and financial aid payment periods.
If the General Settings for Student Accounts are configured to allow posting to:
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Any Campus, you can post transactions for a student at any campus
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The Current Campus, you can only post to an enrollment at the student's current campus. If you try to post the transaction to another campus, a message indicates that you are not signed into the campus and posting is not allowed.
You can use cashiering to post payments while multi-factor authentication is enabled in Azure configuration. When multi-factor authentication is enabled, instead of authenticating through the cashier login popup in Anthology Student, you will be presented with a Microsoft Entra (formerly called Azure Active Directory) Authentication popup to ensure that you have proper access and that you are a cashier.
Prerequisites
You must have:
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Common - Student - View authorization
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Student Accounts - Student Account Transaction - New authorization
To use a Deposit Receipt Number, your institution must have selected Yes for Enable Additional DRN (Deposit Receipt Number) when it configured advanced features in the system settings for Anthology Student. (Select the Settings tile > expand System > select Advanced Features.)
To use an additional payment gateway provider, your institution must have selected Yes for Enable Additional Payment Gateway Provider for electronic processing under Advanced Features. (Select the Settings tile > expand System > select Advanced Features.)
Access Method
Select the Students tile > select the name in the Students list > expand Student Accounts > select the Ledger Card tile.
Procedure to Post Payments
The grid shows the items for the program version for the current enrollment (if any). Use the Program Version drop-down to change the program version. You cannot select All Program Versions.
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Select the Transactions tab.
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Select the student's Program Version.
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Filter the transactions by Term or Payment Period.
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If the Cashiering feature is enabled, specify the User Name and Password and select OK. Only users defined as cashiers can post payments.
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Select a Term from the list. The list of associated transactions for the term will be displayed.
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Select the Payment button.
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Specify the following details.
If Anthology Student is integrated with Anthology Finance & HCM, and cashiering is enabled, you can select a bank account to associate with the payment. All active bank accounts appear in the Bank Accounts drop-down list and the default bank account is displayed for the selected payment type.
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If you want to save and:
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Close, select the Save & Close button
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Continue to add another item to the list, select the Save & New button
If you selected the Apply Payment check box and the Apply Credit pop-up is displayed, see Apply Credits to Charges for more information.
If the associated fund source for the payment has been configured to apply payments to interest before the principal, the payment is applied to the interest of the specified scheduled payment followed by the principal. Additionally, any surplus amount is applied to the interest of subsequent payments, followed by the principal, until the surplus is exhausted.
For credit card payments, with ACI set as the payment gateway provider and ACI Transaction Fee enabled, a pop-up message disclosing the transaction amount, transaction fee, and total payment amount is displayed. Select Pay to confirm the payment.