This section describes the steps to record a repayment on a loan account that is held by a group. The following methods are available:
- collection sheet
- repayment via cash or similar payment type
For repayments of client loan accounts see How to Make Repayments on a Client Loan Account.
For repayments of JLG loan accounts see Using collection sheet or other payment types for making payments.
To make a repayment using the collection sheet (and productive collection sheet)
** UNDER CONSTRUCTION—The collection sheet is a way to create bulk transactions for repayment of loans. Collection sheets …***
To make a repayment using cash or similar payment type
Locate the loan account by navigating to it through the group that holds the loan account.
- Select Make Repayment from the action bar.
- Accept the default Transaction date or select a different date from the calendar pop-up.
- Accept the default Transaction amount or type a different repayment amount.
- Select Payment type from the list.
- Click + to add payment details (optional).
- Account#
- Check#
- Routing code
- Receipt#
- Bank#
- Type relevant notes.
- Click Submit.
The loan account repayment will be recorded and the repayment schedule and loan summary will be updated with the payment information.