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This guide has been reviewed against our global client base and classed as relevant to UK only |
This page explains how to process a deposit repayment from the agent deposit account
1. Access Tenant Refunds screen From the tenancy:
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2. Review the primary client account Bank Reconciliation
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3. Create BACS file to pay out deposit from Deposit Account
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4. End of the working day...
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5. Import Deposit Account Bank Statement
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4. After uploading the Deposit Account BACS file After uploading the Deposit Account BACS file:
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5. Reconcile money in on primary account
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6. Go to the BACS and Cheques Run to process payment From the BACS and Cheques Run, the refund payment to the tenant can now be processed |
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How to process a deposit repayment from the agent deposit account |