Review Settlements

Purpose:  Use this document as a reference for reviewing treasury payments scheduled for authorization and release in ctcLink.

Audience:  Cash Management staff.

You must have at least one of these local college managed security roles:

  • ZD Treasury Inquiry
  • ZZ Treasury Maintenance

If you need assistance with the above security roles, please contact your local college supervisor or IT Admin to request role access.

Review Settlements

Navigation: Cash Management > Settlements > Review Settlements

  1. The Review Settlements page displays.
  2. Set up your preferences by selecting the Preferences link. You can set Business Unit and/or Bank Code.
  3. Select OK.
  4. Enter or select From Date and To Date.
  5. Select Search.  
  6. Select the View Payment Life Cycle icon to drill into payment information for different stages of the payment lifecycle.
  1. The Payment Created icon, Awaiting Selection icon,  Awaiting Approval icon,  Awaiting Dispatch icon,  Payment Processed icon,  and Payment Reconciled icon become linked, and change from gray to color when that specific action occurs for a payment.
  2. Select OK to return to the Review Settlements page.
  3. Use the Settlement Information tab to review additional information about the settlement.
  4. Use the Settlement Details tab to review additional information about the settlement, such as Transaction ID and Dispatch Status.

Video Tutorial

The video below demonstrates the process actions described in the steps listed above. There is no audio included with this video. Select the play button to start the video.

Video Tutorial Via Panopto

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