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In the Create Reimbursement/Special Waiver Adjustment panel, you can create an adjustment for an expense reimbursement or a special waiver. The following are the options in the Create Reimbursement/Special Waiver Adjustment panel.
 

Option

Tag

Description

Reimbursement Adjustment

Entity ID

1163

Specifies the entity identifier.

Entity Name

1164

Specifies entity name.

Accounting Basis

21

Specifies the accounting basis.

Share Class

34

Specifies a valid share class.

Adjustment Fee Type

11198

Indicates whether the adjustment applies to an expense reimbursement or to a special waiver. Options include:

  • Reimbursement

  • Special Waiver

NEW

Reimbursement /Special Waiver Rule

4481

Specifies the expense reimbursement or special waiver rule identifier. The lookup displays active reimbursements or special waiver accounts based on the Adjustment Fee Type value you select.

 REVISED

Reimbursement /Special Waiver Account

3252

Specifies a valid expense reimbursement or special waiver account.

NEW

Adjustment Amount

903

Specifies the adjustment amount. You can enter a negative or a positive dollar amount.

Effective Date

35

Specifies the effective date for the adjustment.

Accounting Date

36

Specifies the accounting date.

Monthly Accounting Date

4733

Displays the month end accounting date.

Ledger Notes

1308

Allows you to define the reason for the reimbursement or special waiver adjustment.