Depositing to a Client Purse

Clients can deposit money into a purse that can be used to pay the transit agency.

Before you begin

EZ-Wallet must be open in the Trapeze4 Workstation.

About this task

When a client has a balance in his or her record, the proper fare is automatically deducted from this sum when you save a new booking for the client. Any existing unpaid future bookings are automatically recalculated. You can review and search all purse transactions for the client in EZ-Wallet's Transactions frame.

If the funds in a client's purse are nearly depleted, the purse can be topped up with additional funds by the client or someone representing the client. For example, a friend or relative.

Procedure

  1. In the Client field, search for the client for whom to deposit funds.
  2. In the Actions & Settings frame, click Deposit.
    The Purse - Deposit dialog box appears.
    The Purse - Deposit dialog box showing Payment Method and Payment Information options.
  3. In the Payment Method field, select the method by which the payment is made.
  4. In the Deposit to Purse ($) field, type the amount to be deposited.
    The amount is automatically added to the amount shown in the Current Purse Balance field and the sum is shown in the Final Purse Balance field.
  5. Click Save.
    The Terms and Conditions dialog box appears.
  6. Optional: Select another language in the Default Language list based on the client's preference.
    The manner in which the client is informed of the terms and conditions of the transaction depends on your transit agency's policies. For example, you can choose to read the terms and conditions to the client or provide the client a copy to read.
  7. If the client agrees to the terms and conditions, select the I have read and agree to the above terms and conditions check box.
  8. Click OK.
    The Confirmation dialog box appears.
  9. Provide the information associated with the payment type used by the client:
    If the client is usingComplete these fields
    Cash, their purse, or on account
    Status

    The status of transaction.

    Status options are defined in ancillary data.

    Reason

    The reason for the transaction.

    Reasons are defined in ancillary data.

    Comments
    Any comments about the transaction.

    Credit card

    Card type
    The card type in the list.
    Status
    The status of transaction.
    Status options are defined in ancillary data.
    Reason
    The reason for the transaction.
    Reasons are defined in ancillary data.
    Please enter the Confirmation Number
    The confirmation number provided by the issuer after the transaction has been processed. If a mask is used (for example, #####), typing the confirmation number will overwrite the mask as the number is typed.
    Comments
    Any comments about the transaction.
    Debit card
    Card type
    The card type in the list.
    Status
    The status of transaction.
    Status options are defined in ancillary data.
    Reason
    The reason for the transaction.
    Reasons are defined in ancillary data.
    Please enter the Confirmation Number
    The confirmation number provided by the issuer after the transaction has been processed. If a mask is used (for example, #####), typing the confirmation number will overwrite the mask as the number is typed.
    Comments
    Any comments about the transaction.
    Check
    Card type
    The card type in the list.
    Status
    The status of transaction.
    Status options are defined in ancillary data.
    Reason
    The reason for the transaction.
    Reasons are defined in ancillary data.
    Cheque #
    The check number.
    The check number can contain up to 40 characters.
    Cheque Date
    The date the check was issued.
    Comments
    Any comments about the transaction.
    Wire transfer
    Status
    The status of transaction.
    Status options are defined in ancillary data.
    Reason
    The reason for the transaction.
    Reasons are defined in ancillary data.
    Wire transfer #
    The wire transfer number.
    Transfer Date
    The date the transfer was done.
    Comments
    Any comments about the transaction.
  10. Click OK.