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        Payment Plan Maintenance
        Payment Plans are assigned to individual students through Payment Plan 
 Maintenance. A student can have one or more payment plan types applied. 
 In some cases, a particular payment plan type may be assigned to the student 
 based on the student's credit worthiness. For example, your institution 
 may have one payment plan type created with an interest rate of 10 percent, 
 and another with an interest rate of 5 percent. You may wish to reward 
 the student with better credit worthiness with the lower interest percent 
 plan. Payment Plan Type setup is 
 very flexible and allows for many other types of plans and situations 
 which are defined by each institution's business rules.
        To assign a payment plan to a student:
        
            - From the CAMS 
	 Enterprise Home page, click Billing 
	 >Payment Plans >Maintenance. If a student has not been 
	 selected, the Select Student window opens. Select the appropriate 
	 student. The Payment Plan Maintenance 
	 window for the selected student displays. Any payment plans applied 
	 to the student display in the top grid. If Alter 
	 Plan has been used to change the student’s payment plan, previous 
	 plans will display in the History 
	 grid.
 
            - Right-click in the data grid 
	 or click the Add button to 
	 open a blank Payment Plan 
	 form, or double-click an existing payment plan to modify.
 
            - Enter the Term, 
	 required, for which the payment plan will apply.
 
            - Select the Payment 
	 Plan Type, required, from the list. Upon selection, the Start Date and End 
	 Date will automatically populate based on the current date 
	 and the setup of the frequency of payments. These dates may be changed 
	 if desired.
 
            - Enter a Description, 
	 required, (maximum 50 alphanumeric characters) for the Payment Plan 
	 Type as it pertains to this particular student.   
 
            - Click the Search 
	 button immediately to the right of the field. The dollar amount found 
	 in the Registration batch, or student's billing ledger, or both (when 
	 some transactions have been distributed to the student's ledger and 
	 others remain in the batch) will display in the Amount 
	 fields. The amount can be changed if necessary.   
 
        
        
            - Note: There are 
 times when clicking the Search 
 button will not result in population of the Amount fields. These are as 
 follows:
 
            - If the student does not 
		 have a balance in the Registration batch or their billing ledger 
		 for the term supplied in the Term field. This could be due 
		 to financial aid that covers the amount of charges, payments made, 
		 charges removed, etc.
 
            - If the charges have TransDocs 
		 which do not match TransDocs applied in the Payment Plan Type 
		 Setup. For example, if you have a payment plan created for semester 
		 courses, and another created for a weekend course, the weekend 
		 course payment plan type could not be applied to a student registered 
		 for semester courses, because the TransDoc for semester courses 
		 has not been set up for the weekend course payment.
 
        
        
            - Click Display 
	 to generate the Student's Scheduled Payments. A list of payments including 
	 payment number, due date, date of grace period of each payment, and 
	 minimum amount due based on the value in the Amount field divided 
	 by the number of payments displays in the data grid.
 
            - Click Add. 
	 If the Payment Plan requires approval, a prompt displays asking whether 
	 approval has been granted. If so, click Yes. 
	 The Payment Plan Type will then be assigned to the student and future 
	 payment transactions can be 
	 identified as satisfying the Payment Plan.