PENDING BANK ACCOUNTS

Use this subtask to enter the information used to generate direct deposits after the accounts are verified by the appropriate banks. The table in this subtask must contain at least one prenote account. You can enter both prenote and verified accounts in the table window. 

An employee can enter this information in the Direct Deposit module in ESS version 3.0 and higher. The update to the Pending Bank Accounts table is automatic. No process is necessary to populate the table.

Enter data in this subtask when an employee requests the addition of new direct deposit bank accounts. Use this subtask to enter pending (prenote) direct deposit accounts and any other approved accounts that populate the Active Bank Accounts table when the Activate Pending Employee Bank Information utility is run. If you are adding one or more bank accounts for an employee who already has approved bank accounts, click the Load Current Setup button to load the employee's current active accounts. After loading the active accounts, you can then add the new (prenote) accounts.

Load Current Setup

Click this button to load the employee's current active accounts. After loading the active accounts, you can then add the new (prenote) accounts.

This function deletes all rows from the Pending Bank Accounts table window and copies all rows from the Active Bank Accounts table window into the Pending Bank Accounts table window.

Table Window

Rank

From the drop-down list, select the priority in which an account receives funds. Rank 1 is the highest priority and rank 10 is the lowest. A rank number of 1 indicates that the line has first priority and Costpoint processes it first when calculating the deduction from the employee's net pay. This process continues until all accounts have been processed. This is a required field.

Bank

Enter the bank ID for the bank account that receives this direct deposit payment. The bank ID must already exist on the Configure Bank Routings screen. This field is required.

Bank Name

This non-editable field displays the name of the bank specified in the Bank field.

Bank Account Number

Use this field to assign the employee's bank account number for the associated bank. Enter the employee's bank account number, using a maximum of 17 digits. Hyphens are permitted. Check with your bank to verify its required format for the bank account number. This is a required field.

ACH Trans Code

From the drop-down list select the ACH transfer code. This determines the type of account and transaction to be made. Valid options are::

When you create the Direct Deposit ACH File:

Method

From the drop-down list, select the method by which the direct deposit amount for the bank/bank account is calculated. Valid options are:

Percent or Amount

This required field is used in conjunction with the Method field

Hints: