The Disbursements tab of the Bank Manager allows you track the number and status of bank products distributed to your clients, as well as amounts distributed using the FeeCollect™ service.
To view amounts disbursed, click the Disbursements tab From the Bank Manager:
Column |
Description |
---|---|
Client # |
A number assigned by your organization to the return in the Return Manager, if applicable. |
Complete |
Completion status of the return as set in the Return Manager. |
SSN |
Social Security Number on the return receiving the disbursement. |
Return Name |
Name of the return as listed in the Return Manager. |
Product Type |
The refund option selected on the 1040 EF Info Worksheet. |
Disbursement Type |
Check, Direct Deposit, or Bank Card. |
Disbursement Date |
Date that the disbursement was made. |
Amount |
Amount of the disbursement. |
Authorization # |
A unique number assigned by the bank authorizing the disbursement. |
Bank Status |
Status of the disbursement. The status is the equivalent of a bank acknowledgement. |
Bank Status Date |
Date that the current bank status went into effect. |
Check # |
Number of the check, if check was the disbursement type. |
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