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Important Notes:
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Resources related to this process
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Step 1: Log in to Transact
Login to Transact.
Follow this link to the Transact Campus portal.
Enter your Operator ID and Password.
Select Login.
Enter your Operator ID. The Operator ID is a unique login identifier for individual users of Transact. Treasury assigns an Operator ID and associated permissions with New User Access Requests.
Enter your Password. Treasury assigns a password with New User Access Requests. If you need access to Transact, submit the Marketplace All-in-One Form.
Enter “000” in the Station Code field.
Enter “BOISESTATE_PROD” in the Client Code field.
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Navigating the different areas of Transact:
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Step 2: Start a New Batch and Cashier the Deposit
Navigate to the Cashiering section of TransactSelect Start a New Batch from the homepage. This will route you to the cashiering option.
Select Dept. Deposit to cashier an existing departmental deposit.
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Navigate to Choose the deposit you need to cashier and select Select located to the right of deposit information. If more than one deposit is listed, select the checkboxes for the deposits you’re cashiering.
Select Continue.
Select the Easy Key corresponding to the payment type you are cashiering.
If the easy key you need is not present, enter it into the text box and click the binocular icon to search for it. Easy keys for each payment type is below:
CA: Cash
CK: Check or Electronic Check (ACH)
CC: Credit Card
MO: Money Order
Enter the amount for the selected Easy Key in the generated text field.
Select Add Payment.
Repeat for each additional payment type tendered.
When complete, select Save Transaction.
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When the amounts match, the status will update to Closed. If you are continuing with the checkout process, follow the instructions in step 3.1 below. |
Step 3: Closing and Validating the Cashiered Batch
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Closing a batch should be done when all departmental deposits have been completed for the day. |
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If you saved transactions to come back to later, Navigate to Your Batches located in the middle of the homepage to view all open batches. |
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Find the Batch No. you’re working with and select Resume located to the right of the Batch information. |
Select Checkout.
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Validate the tender one final time by entering the correct denominations of coins, bills, and amounts for checks and credit cards.
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ACH values are not entered on the checkout screen. |
If the drawer balance and system balance match, select Continue.
If the balances do not match, errors will be displayed in red.
Please correct any discrepancies before attempting to continue.
The batch will close.
Print the Batch closed successfully screen for your records.
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Records are not managed by a central office at the university but should be stored by your department for audit purposes. |
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What’s next:
General ledger information associated with your item codes should be posted within two days.
End of Process
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Need help with the steps above?
If you need to request additional item codes, update an item code, or request user access, fill out the Marketplace All-In-One Form.
To correct a deposit that has already been posted, submit a journal entry through the Journal Entry Request Form. Please note, when submitting a correction, we recommend you also fill out the Marketplace All-In-One Form to request an update to item code revenue accounting string so that it is fixed in future deposits.
If you need assistance with the process outlined above, please reach out to treasury@boisestate.edu.
If you have suggestions to improve the instructions in this job aid, please submit an OCI Service Request ticket.