Student Transactions Page

Use the Student transactions form to view transactions for all students or for a particular student.

Roles and Privileges

CMC: Student accounting manager or CMC: Student accounting administrator

Access Method

  • To view transactions for a particular student:

    Navigate to Modules > Student Accounting > Student > Students > select a student record, and select the Transactions menu option.

  • To view transactions for all students:

    Navigate to Modules > Student Accounting > Student > Transactions.

The following tables describe the page controls.

Filters

Filter Description
Ledger type

Select one of the filter settings:

  • Main Ledger – Displays Charge, Refund, Stipend, Disbursement, and Payment transactions and related voids. This is the default selection.

  • Subsidiary Ledger – Displays Subsidiary Charge, Subsidiary Refund, and Subsidiary Payment transactions, and related voids.

  • Miscellaneous - Displays Miscellaneous transactions. This option is available only when the Student transaction page is opened from the Student accounting > Transactions navigation path.
Campus Select the campus to filter student transactions by the selected value.
Bank account Select the bank account to filter student transactions by the selected value.
Transaction code Select the transaction code to filter student transactions by the selected value.
Award year Select the award year to filter student transactions by the selected value.
Student payment type Select the payment type to filter student transactions by the selected value.
Enrollment Select the enrollment to filter student transactions by the selected value.
Show

Select one of the filter settings:

  • All – Display all transactions. This is the default selection.

  • Not posted – Display transactions that are not yet posted.

  • Posted – Display posted transactions.

Term code Select the academic term code to filter student transactions by the selected value.
FA fund source Select the FA Fund source to filter student transactions by the selected value.
Subsidiary code Select the subsidiary code to filter student transactions by the selected value.
Credit card type

Select the credit card type to filter student transactions by the selected value.

Note: This filter is enabled when the SIS Payment type is Credit Card.

Tabs

Tab Description
Overview View the transactions for the student.
General View information about the selected transaction.

Buttons

Button Description
Voucher Opens the Voucher transactions form, to view the journal entries for the selected transaction. For more information, refer to Microsoft Documentation.
Details Opens a menu that contains the following item:
  • Customer – Displays customer transactions associated with the selected transaction.

Post

Posts the selected transactions that are in the Not Posted state.

Note: This option will be disabled for payment transactions when the Enable pending deposit is Yes for Pending deposits on the Set Up Student Accounting Parameters page. The Post option is enabled only when the check is printed and not for other transactions.

Settlements Opens the Settlements page for viewing the transactions applied to the selected transaction. For more information, refer to Settlements Page
Void transaction Voids a posted summary transaction, which is no longer required. When the summary transaction is voided, the vouchers associated with the voided transaction are reversed.

Fields

Field Description
Student Identifier Student identifier from an external student information system. This field will be blank for a summary transaction.
Student number Student number from Anthology Student.
Student ID Unique ID for the Student record in Anthology Finance & HCM.
Name Name of the student.
Campus The campus code where the current transaction occurred.
Enrollment The enrollment number to which the current transaction applies.
Term code The academic term of the current transaction.
Academic year start date The start date of the academic year to which the current transaction applies.
Academic year end date The end date of the academic year to which the current transaction applies.
Posted Whether the current transaction is posted or not.
Description The description of the current transaction.

Note: When integrated with Anthology Student, it is the description of the transaction sent from Anthology Student.

Date The date of the current transaction. For the stipend or refund transactions, this field reflects the date when the check for the transaction is generated.
FA fund source The FA Fund source code associated with the current transaction.
Award year The award year to which the current transaction applies.
Transaction code The transaction code to which the current transaction applies.
Subsidiary code The subsidiary code of the current transaction.
Account Ledger account to which the transaction is posted. This field is editable only for the Miscellaneous receipt transaction type.

Offset account

Offset ledger account to which the transaction is posted. This field is editable for the Miscellaneous receipt transaction type.
Amount The transaction amount in the currency selected in the Currency field.
Balance The amount that the student owes based on the selected Ledger type, in the currency that is shown in the Currency field in the Student balance field group.
Currency The currency code for the transaction.
Payment reference A reference to a specific payment.
Payment period The payment period when the current transaction is made.
Student payment type The payment type of the transaction. This field is applicable only for transactions of type Payment.
Transaction type The type of transaction that is sent from Anthology Student: Stipend, Refund, Disbursement, etc.
Credit card type The type of credit card used for the current transaction. This field is applicable only to transactions paid by credit card.
Receipt number The receipt number created for a payment in Anthology Student.
Payee name The name of the payee associated with the transaction.
Payee address The address of the payee associated with the transaction.
Payee ID in Student The unique ID associated with the payee that is sent from the SIS.
Payee type The type of payee associated with the stipend or refund transactions in Anthology Student.
Bank account The bank account associated with the current transaction.
Check number The number of the check issued to pay the student.
Check date The date when the check was printed.
Check group The identifier of the check group to which the current transaction belongs.
Pending check in Student Whether the check for the transaction that is sent from the SIS is waiting for information to be sent back to the SIS or not.
Pending deposit in Student Whether the deposit slip for the transaction that is sent from the SIS is waiting for information to be sent back to the SIS or not.
Void trans ID in Student

The ID of the transaction in Anthology Student that is automatically created when the transaction is voided/reversed.

Note: Transaction voiding/reversal can be initiated from Anthology Student (by voiding a transaction) and from Anthology Finance & HCM (by reversing a check).

Reissue trans Id in Student The ID of the transaction in Anthology Student that is automatically created when the transaction is created as a replacement of a voided/reversed transaction.
Student transaction origin Indicates whether the transaction is created through the import process or from the integration process. It can have one of the following values:
  • Imported - Indicates the transaction is created using an import process.

  • None - Indicates the transaction is created using the integration process.

Summary transaction Indicates whether the transaction is a summary transaction. Summary transaction refers to grouping a desired number of charge transactions as a single charge transaction that are imported to Anthology Finance & HCM. A summary transaction does not have an associated transaction in Anthology Student.
Amount settled The amount settled for the transaction.
Transaction ID Unique ID for a transaction record that is generated after the transaction is posted in Anthology Finance & HCM. For a summary transaction, this ID is used to identify and edit the summary transaction details in the data file that is used for importing the transactions.
Sync status

The synchronization status of the imported student transactions that are yet to be posted. It can have one of the following values:

  • Pending - The transaction is imported; however, the Synchronize imported transactions batch job is not yet run.

  • Queued - The transaction is added to the Synchronize imported transactions batch job for data synchronization.

  • Error - The data synchronization failed due to a data mismatch in Anthology Finance & HCM and Anthology Student.

  • Synced - The data synchronization between Anthology Finance & HCM and Anthology Student is successful.

Description The description of the synchronization status with error or warning details for the imported transaction.