Wepa Payment Types:
Step | How Wepa funds are collected and routed: |
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1 | Wepa collects funds through:
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2 | Transactions made using a Wepa account or credit card will be processed by Wepa and collected directly by Wepa. No funds will be routed to Biola for these purchases |
3 | Transactions made using Student Cards (Campus Cards) are processed through the campus card readers (Transact) managed by Auxiliary Services |
4 | All funds collected by Transact using campus ID's are then routed to the Copier fund/org in the Income Offset Account: 101000-301030-75150
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Wepa Invoices
Step | Understanding how Wepa invoices for lease and per print services |
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1 | Wepa invoices Biola at the end of every month for:
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2 | Biola collects all the Student Card funds while Wepa collects all the funds for transactions made with a Wepa Account or Credit Card. However, for each payment type Wepa and Biola are to split the funds, with Biola taking the larger percentage due to the markup rate. |
3 | To adjust for the difference, Wepa invoices us for the Student Card revenue while substracting the Markup revenue thereby accounting for the difference shown in the invoice above. |
4 | In this example shown, Biola had a net profit of $1,562.23. |
Accounting Codes
Step | Assigning the correct accounting codes |
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1 | On the invoice - 'Kiosk Lease', which is an annual budget approved on a standing PO, should be charged to account: 101000-301030-71710 |
2 | On the invoice - 'Campus Card' (Student Card), which is also an annual budget approved on a standing PO, should be charged to account: 101000-301030-71201 |
3 | On the invoice - 'Markup Rebate' should be credited to account: 101000-301030-71201 |
4 | Not shown on the invoice but stated above - all funds collected through Campus ID's (Transact) will be routed to the income offset account: 101000-301030-75150 |
5 | By assigning these codes, this will properly balance the GL while also account for each of the line items on the Wepa invoice. |