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Step-by-Step Guide to Making an Adjustment
- From the selected tenants Household Overview page click on the Toolbox tab.
- Mouse over the "Transactions" button, and from the drop down menu click "Post Adjustment".
A- "Transactions" button.
B- Post Payment button - Select whether the adjustment is a Credit or a Debit. Fill in the date the adjustment is to be posted. Fill in the amount of the adjustment. Select the account the funds will be adjusted in, the category, and a description of the adjustment.
- Click "Next".
- Choose whether the adjustment will be allocated or not. If so, fill in the corresponding fields.
- Click "Next".
- Review the adjustment action information, and click "Finish".
- The Tenant Ledger will be updated with the adjustment.