FF.005.3 Transfer Funds (Project Archive)

User Acceptance Test Overview

The transfer funds is one of the cash management functionality. Either you do FF.005.3.1 - Create Bank Account Transfer* or FF.005.3.2 - Create EFT Request but we would recommend doing EFT Request (FF.005.3.2). If required, you can enter fees (FF.005.3.3) for EFT request. *Colleges with a single bank account can SKIP step FF.005.3.1, as this ONLY applies to colleges with multiple bank accounts who need to process transfers between those account.

Once settlement is created, then you select settlement (FF.005.3.4) and approve Settlement (FF.005.3.5). You may FF.005.3.6 - Review Settlements.

Once everything is completed, then settlement is ready to process in financial gateway as well as ready for generate Accounting entries.

Pre-Condition:

1. Bank and Bank Account setup is completed (configured by the project team, to review Navigation: NavBar > Banking > Bank Accounts > External Account)

2. The Accounting template is created (accounting templates created by the project team for testing, to create your own 9.2 Create an Accounting Template)

Post-Condition:

1. Transfer settlement is ready for financial gateway to process payments.

2. The Accounting event is ready for transfer settlements

Business Process Flow Diagram

Self-Paced Training Materials (Advanced Prep)

To prepare yourself in advance for the richest testing experience below are required Canvas Courses. Successful course completion is a prerequisite to participate in all UAT activities.

  • CT100 Treasury (Cash Management)

To register for these required courses visit the ctcLink Training Registration Page.

Additional Resources

Instructor-Led Training Materials and Recordings

FF.005.3.1 Create Bank Account Transfer (Limited to Colleges with Multiple Bank Accounts)
(Colleges with a single account can SKIP this step.) (This step does not apply to any DG6 colleges.)

FF.005.3.2 Create EFT Request

FF.005.3.3 Enter Fee Entries (Optional: If part of college business process) (This step does not apply to any DG6 colleges.)

FF.005.3.4 Select and Review Transactions

FF.005.3.5 Approve Settlements

FF.005.3.6 Review Settlements 

Minimum Test Case (Data) Scenarios:

Scenarios for FF.005.3.1 - Create Bank Account Transfer

• Create EFT Request Transfer Templates

• Create Bank Transfer Templates

• Approve Transfer Templates

• Create Bank Account Transfer with bank transfer template

• Create Bank Account Transfer without bank transfer template

• Create Bank Transfer using Transferring funds

Scenarios for FF.005.3.2 - Create EFT Request

• Create EFT Request with EFT template ID

• Create EFT Request without EFT template ID

• Create EFT Request using Transferring funds

Scenarios for FF.005.3.3 - Enter Fee Entries

• Enter Fee Entries for EFT Request

Scenarios for FF.005.3.4 - Select and Review Transactions

• Select Transactions using Select Settlements page

• Select Settlements using the Settlement Manager

Scenarios for FF.005.3.5 - Approve Settlements

• Approve Settlements

Scenarios for FF.005.3.6 - Review Settlements

• Review Settlements using review Settlement page

• Review Settlements using Settlement Manager

FF.005.3.1 - Create Bank Account Transfer

  • Error Condition: While creating transfer template or transaction, leave bank Account blank
    • Expected Behavior: You will get error message to enter the bank details.

FF.005.3.2 - Create EFT Request

  • Error Condition: While creating EFT request template or transaction, leave bank Account blank
    • Expected Behavior: You will get error message to enter the bank details.

FF.005.3.3 - Enter Fee Entries

  • Error Condition: While creating fee request, any of required filed (example: fee code) 
    • Expected Behavior: You will get error message"Enter data into the highlighted fields"

FF.005.3.4 - Select and Review Transactions

  • Error Condition: Search the transactions where date field is not in range  of the settlement date 
    • Expected Behavior: You will not see any transactions in search result.

Next Step in the High Level UAT Framework:

Links to User Acceptance Test 'How To' Information:

Overview of User Acceptance Testing

Security Matrix Mapping Information

The information below provides those completing the Security Matrix Mapping templates with the Menus, Pages and Role names needed to execute the User Acceptance Testing relevant to this UAT guide.

FF.005.3.1 - Create Bank Account Transfer:

MENU: NavBar > Navigator > Cash Management > Fees and Transfers > Enter Transfer Templates
ROLENAME: ZZ Treasury Local Config

MENU: NavBar > Navigator > Cash Management > Fees and Transfers > Approve Transfer Templates
ROLENAME: ZZ Treasury Approvals

MENU: NavBar > Navigator > Cash Management > Fees and Transfers > Bank Account Transfer
MENU: NavBar > Navigator > Cash Management > Fees and Transfers > Transfer Funds
ROLENAME: ZZ Treasury Maintenance

FF.005.3.2 - Create EFT Request:

MENU: NavBar > Navigator > Cash Management > Fees and Transfers > EFT Request
MENU: NavBar > Navigator > Cash Management > Fees and Transfers > Transfer Funds
ROLENAME: ZZ Treasury Maintenance

FF.005.3.3 - Enter Fee Entries:

MENU: NavBar > Navigator > Cash Management > Fees and Transfers > Enter Fees
ROLENAME: ZZ Treasury Maintenance

FF.005.3.4 - Select and Review Transactions:

MENU: NavBar > Navigator > Cash Management > Settlements > Select Settlements
MENU: NavBar > Navigator > Cash Management > Settlements > Review Settlements
MENU: NavBar > Navigator > Cash Management > Settlements > Settlement Manager
ROLENAME: ZZ Treasury Maintenance

FF.005.3.5 - Approve Settlements:

MENU: NavBar > Navigator > Cash Management > Settlements > Approve Settlements
ROLENAME: ZZ Treasury Approvals

FF.005.3.6 Review Settlements:

MENU: NavBar > Navigator > Cash Management > Settlements > Review Settlements
ROLENAME: ZZ Treasury Maintenance

PDF Version of Flow Diagram for Printing

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