Setting Policies

There are many policy options in the Tenant Accounts Receivable (TAR) program, and they can be used to customize WinTen² programs to better match an HA’s work processes.

1. To access TAR policies, click SETUP on the Main Menu screen. On the Receivables Setup screen that appears, select the Profiles and Policies tab and then click POLICIES. The Browse Policies screenopens with all available policies displayed in a table.
2. Double-click on the policy you want to work with; or, highlight the policy in the table and click to open the Maintain Policies screen.
3. After choosing the appropriate value, click OK to set the policy. The Browse Policies screen appears again with the newly set value displayed in the table.

TAR policies can be divided into 9 categories:

Policy Summaries

NSF

NSF Transaction Description for RecTrans and Register Payments

Value: User-specific

NSF Fee Description for RecTrans and Register

Value: User-specific

Payments

Payment Type for “Only Accept Cash” Customers

Value: Automatic Withdrawal, Cash, Cashier’s Check, Check, Electronic Funds Transfer, or Money Order

This policy affects the default payment type, for “Only Accept Cash” customers, used during the Take Payment Wizard.

Restricting Payments to Current Lease

Value: True or False

This policy allows your agency to apply payments to only the accounts attached to a tenant's current lease. Current lease accounts have account numbers that contain the unit number in which the tenant is currently living.

Note: If you want to apply payments to any other account/any account NOT attached to the current lease (without a unit number or with a different unit number from the unit in which the tenant is currently living), you must manually select it. When the policy is set to True, a new checkbox appears in the Take Payment Wizard: “Only take payment on current lease accounts.” By default, this checkbox will be checked, but unchecking the checkbox allows the user to override the current policy during the payment process for a particular customer.

Post Payments with Deposits

Value: True or False

Default Payment Type for Payment Wizard

Value: Automatic Withdrawal, Cash, Cashier’s Check, Check, Electronic Funds Transfer, or Money Order

Default the Pre-Payment Flag During the Payment Wizard

Value: True or False

Note: If your HA always keeps the overpayment, set this policy to True. If your HA always gives the change, set this policy to False.

Manually Apply Payments (Do not have system auto apply)

Value: True or False

Pre-payments and Due Now Balance - Auto Re-apply Without Asking Every Time

Value: True or False

Receipts

Preview Receipt Before Printing During Payment Wizard

Value: True or False

Default the Payment Wizard to Print Receipt

Value: True or False

Receipts - Show Future Transactions on the Receipt

Value: True or False

Include the Receivables Transaction on Receipts/Statements

Your receipts and statements for accounts other than accounts receivable may not balance correctly if the tenant also has receivables transaction(s) attached to their lease. To avoid this, you have the ability to exclude receivables transactions on your receipts and statements with this policy setting.

Note: This is for account types other than Accounts Receivable.

EPF

Electronic Payment File - Deposit Cash Drawer Automatically

Value: True or False

Late Fees

Late Fees - Apply Late Fees with the Variable Date

Value: True or False

Late Fees - Always Apply Late Fee to Previous Month for Which a Late Fee Was Not Applied

Value: True or False

Lease

Allow New Lease When Tenant is in ORC

Value: True or False

Note: This policy should be set to True if your HA has non-subsidized leases.

Allow Lease to Terminate When Tenant is in ORC

Value: True or False

Separate TAR Accounts for Every Lease

Value: True or False

Cash Drawers

Allow Balance of Cash Drawer if Drawer is Out of Balance

Value: True or False

Allow Deposit of Cash Drawer if Deposit is Out of Balance

Value: True or False

Deposit Wizard, Default Cash Drawer to Select all Cash Drawers

Value: True or False

Allow One Person to Access Multiple Cash Drawers

Value: True or False

Note: All cash drawers must be closed before this policy can be changed.

Allow One Cash Drawer for Multiple People

Value: True or False

Note: All cash drawers must be closed before this policy can be changed.

General Ledger

Auto Accept GL Batches Created from TAR

Value: True or False

Post Receivables Transactions to General Ledger

Note: Since closed months do not post, make sure to close months that you don’t want to post FIRST.

Miscellaneous

What Date Should Be Used for the Beginning Balance?

This date is displayed on the Account Details and Account Summary tabs to determine the beginning balance. This is NOT used for reports or statements.

Value: True or False

What Date Should Be Used for the Ending Balance?

This date is displayed on the Account Details and Account Summary tabs to determine the ending balance. This is NOT used for reports or statements.

Value: True or False

View the Total Amount Due on the Customer Browse Screen

Value: True or False

Set the Transaction Detail for the Account Detail Screen

Value: True or False

Allow User to Modify the URP Refund Check Before They Are Posted

Value: True or False

Allow Lease Terminate When Tenant is in ORC

This policy allows you to set up whether or not lease terminations should be completed in Tenant Accounts Receivable (TAR), or only in Occupancy and Rent Calculation (ORC). If you have tenant records that also exist in ORC, you can set the program to only allow lease terminations in ORC and a lease cannot be terminated from Receivables.

Value: True or False

Office Security - Use Office Security

This policy is used to limit the viewing of the Browse Tenant Leases screen, as well as limiting the developments available in reports used for developments, processes by developments, and cash drawers (payments).

Value: True or False

Unit Activity Paint Date

Value: User-specific

Statements - Only Print the Month Being Billed?

Value: True or False

URP - Select a Vendor for the URP Invoices/Checks

Value: User-specific

Allow Zero Rent

Value: True or False

Default Payables Vendor Type for Refund Checks

Value: User-specific

Set Number of Months That Can Be Open at One Time

If there are a large number of open months in Tenant Accounts Receivable, and if certifications are re-opened in Occupancy and Rent Calculation, there is a high risk that numbers posted to General Ledger can change unexpectedly.Therefore, there is a limit on the number of months the system can be open (the default setting is 3 months open).

Value: User-specific

Description Used for Re-open Certifications (Lease Undo)

Value: User-specific