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	Pro Gold i2 Online User Manual
		
 
Chapter 13 - Creating Deposits
 Helpful Hints 
The  Deposit Tab allows you to:
 
  - Enter  deposits
- Create  deposit slips
- Transfer  undeposited checks to deposit slips
Contains both a  date and a date received to reflect date deposited and date you actually  received it (important for escrow tracking)
  When escrow type  account selected, contains a Property ID field (required entry) to tie the transaction to the actual property for  escrow tracking requirements
  Upon entering  the Deposit Tab
   - First verify appropriate bank account (e.g., General  checking, etc…) in upper right of Tab
- The last transaction entered for the account  selected will display
- Select “New” and then “Yes” to create/add a new deposit
- Select  appropriate date (click calendar box, select date if default not applicable)
- Enter  appropriate dollar amount (Tab out or click mouse in memo field)   
- If Escrow account used, ensure appropriate Property  ID is assigned
- If Escrow  transaction, system will automatically enter Property ID, property address and  dollar amount in memo field (Always work from the property record to  initiate a deposit transaction) 
- Enter applicable  Credit General Ledger account(s) 
- System will not  allow selection of G/L account that is assigned to a bank account (e.g., 1010,  1030, etc…)
- If Escrow  account, default Escrow Liability G/L account [e.g., 2500] will automatically be entered
  
The Memo field  is used for comments to describe the transaction
   You can edit or  delete any deposit not posted to the General Ledger 
   Use “Post” button to post deposit to the  General Ledger
   May “UnPost” the deposit to make any  modifications
   Find button  brings up menu that allows you to search for deposits by date   
   If your company  uses Pro Gold XP to track receivables (i.e., Receivables Tab), you must use the 1090 Undeposited Funds account as  the Credit entry when receiving payments  (i.e., personal check/cash from Agents) on Agent Invoices
   Receiving/processing  payments through the Receivables Tab will be covered in Receivables training 
	
  
 
	 
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