Issue Miscellaneous Receipt via Shared Branching
These steps explain how to issue a miscellaneous receipt (amusement park tickets, fee, etc.) for a CO-OP shared branching member.
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These steps assume the funds for the miscellaneous receipt item are already in the member's account. If the member does not have sufficient funds, you will first need to perform a separate deposit transaction before following the steps below.
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If an eReceipt appears after posting the transaction, have the member sign the signature pad. Then print and save the receipt.
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Launch Tool #1 Teller Line Posting.
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Enter your employee ID and password.
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Click the SB Network button at the bottom of the screen.
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On the Shared Branching Network screen, select the credit union to which the shared branching member belongs.
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Click Select.
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The credit union you selected will then be highlighted and a number of fields will appear below.
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Enter the member's account number in the Account # field.
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From the Membership drop-down menu, select the type of member you are serving.
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In the Select request field, enter the code that corresponds to the type of account you wish to access.
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Click the forward arrow.
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On the Shared Branching Network - Member Verification pop-up, enter the member's identification information or leave the pop-up blank, depending on your credit union procedures.
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Click the forward arrow.
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Click the Deposit/Withdrawal button on the Shared Branching Network funds in screen to proceed to the next screen.
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On the Shared Branching Network deposit/withdrawal screen, in the Withdrawal Amount field corresponding to the account from which the member would like the funds withdrawn, enter the amount of the miscellaneous receipt item.
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Enter 'R' in the Proc Code field.
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Click Post.
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On the Shared Branching - Miscellaneous Receipts screen, enter the amount of the miscellaneous receipt item in the Amount field.
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Enter the code your credit union has configured for shared branching miscellaneous receipts or the number of the G/L account that will need to be debited, depending on your credit union procedures.
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Enter the corresponding receipt or G/L description, depending on your credit union procedures.
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Click Post.
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On the Confirm pop-up showing you the results of the shared-branching transaction, click the forward arrow.
Learn More
Learn more about processing teller transactions through the CO-OP shared branching network.