Change the Batch Effective Date​

Introduction

A transaction may be in error if it posts after STARS closes the month of the transaction’s Batch Effective Date (“Effect Date” on the S530 screen). Although you may change effective dates on individual transactions in a batch, a batch in error will not process until you change the Batch Effective Date.

The person with release authority must release the batch that is in error and then change the Batch Effective Date on a Batch Header.

If a batch is not in error, the Batch Effective Date cannot be changed.  If you need to change the Batch Effective Date, the batch will have to be deleted and re-entered with the correct Batch Effective Date.

Click here to watch a video tutorial about changing the Batch Effective Date.

Instructions

The batch must first be released in order to create an error correction transaction:

1. Type 53 in the FUNCTION field of the STARS main menu.

2. Type S in the FUNCTION field on the S530 VIEW OR SELECT BATCH HEADERS screen.

Press TAB until the cursor is on the same line as the Edit Mode 3 batch, and then type S and then press ENTER.

 

VERSION 3.1         STARS--VIEW OR SELECT BATCH HEADERS                 S530

                                                                              

 FUNCTION: s (F=FIRST PAGE, N=NEXT PAGE, S=SELECT BATCH)                      

                                                                              

           AGENCY:  230                                                       

S ----BATCH ID----      BATCH EFFECT  ENTERED     ENTERED        COMPUTED      

    DATE   TYP NO MODE STA BAL DATE AL COUNT      AMOUNT          AMOUNT      

  07271999 5 401   3   H   Y 072799 0 00001 0000015000.00   0000015000.00     

s 07291999 4 403   3   H   Y 072999 0 00001 0000006981.00   0000006981.00     

  08171999 5 505   1   H   Y 081799 3 00004 0000000809.00   0000000809.00     

                                                                              

                                                          INTERRUPT:          

    NO MORE BATCHES FOR THIS AGENCY                                               

PF9=BATCH BALANCING, PF10=CHG BATCH/VIEW DETAILS, PF11=VIEW BATCH SUMMARY      


4. On the View Batch Summary (S520) screen, press F9 to open the BATCH BALANCING (S502) screen.
 

VERSION 3.1             STARS--VIEW BATCH SUMMARY                       S520

 

FUNCTION: F (F=FIRST PAGE, N=NEXT PAGE)

 

BATCH-ID:   AGCY 200 DATE 01172014 TYPE 5 BATCH-NO 453 SEQUENCE 00001

EFF-DATE 011714 STATUS R DISB METHOD   MODE 3

 

                            EXP/REV BUDG             CURRENT

SEQ  TC  R  PCN INDEX  PCA SOBJ/DTL UNIT FUND/DTL   DOCUMENT        AMOUNT

0010 230         9200 50000 7081 05 ADAI 0462 20   STARS45310 0000000274.00

 

 

     BATCH BALANCE

       ENTERED COUNT:  00001           ENTERED AMOUNT:  0000000274.00

       COMPUTED COUNT: 00001           COMPUTED AMOUNT: 0000000274.00

                                                        INTERRUPT:

 

PF9=BATCH BALANCING, PF10=CHG BATCH/VIEW DETAILS, PF12=VIEW/SELECT HEADERS

 

5. On the BATCH BALANCING screen, type R in the FUNCTION field and then press ENTER. The message “Batch Has Been Successfully Released Error Correction Release Transaction Has Been Created” is displayed at the bottom of the screen.

 

VERSION 3.1                  STARS--BATCH BALANCING                     S502 

                                                                              

 FUNCTION: R (H=HOLD, R=RELEASE, O=OVERRIDE, D=DELETE)                        

                 (BLANK FUNCTION RETURNS TO BATCH HEADER ENTRY)               

                                                                              

 BATCH AGENCY: 230                                                            

 BATCH DATE:   08171999                                                       

 BATCH TYPE:   5                                                              

 BATCH NUMBER: 505                                                            

                                                                              

 BATCH BALANCE                                                                

               ENTERED COUNT:    00004    ENTERED AMOUNT:  0000000809.00      

               COMPUTED COUNT:   00004    COMPUTED AMOUNT: 0000000809.00      

                                                                              

 BATCH APPROVED BY:                                   BATCH OPER-ID:  DBK     

            GJM XYS                                                           

            AL1 AL2 AL3 AL4 AL5 AL6 AL7 AL8 AL9                               

                                                                               

           USER APPROVAL LEVEL:     2                                          

           REQUIRED APPROVAL LEVEL: 3                                         

                                                       INTERRUPT: 

 BATCH HAS BEEN SUCCESSFULLY RELEASED

 ERROR CORRECTION RELEASE TRANSACTION HAS BEEN CREATED           

 

Once the batch is released, it can be changed on the S540 screen:

1. Press HOME (which puts the cursor in the FUNCTION field), then SHIFT+TAB to move the cursor to INTERRUPT field.

2. Type 54 in the INTERRUPT field and then press ENTER.

3. On the Enter Error Correction Transactions S540 screen, type R in the FUNCTION field, and then press ENTER.

4. Type A in the FUNCTION field.

5. Press TAB to move the cursor to the C column next to the batch, and then type an A next to the batch.

6. Press TAB to move to the NUMBER/NAME column. RELEASE will be displayed in the field

 

VERSION 3.1      STARS--ENTER ERROR CORRECTION TRANSACTIONS             S540 

FUNCTION: A (A=ADD, C=CHANGE, F=FRESH SCREEN, R=RECALL)            AGENCY: 230

  ------TRANS ID------      DATA ELEMENT                DATA ELEMENT          

C    DATE TYP NO  SEQ DUP---NUMBER/NAME-----------------CORRECTION------------

A 20080309 5 001 00000 0 RELEASE                                               

                                                                              

 

8. Delete or type over the word “RELEASE” and then type “BATCH EFF DATE” (without quotes).

9. Press TAB to move the cursor to the Correction column and type a new date in YYYYMMDD format.

VERSION 3.1      STARS--ENTER ERROR CORRECTION TRANSACTIONS             S540 

FUNCTION: A (A=ADD, C=CHANGE, F=FRESH SCREEN, R=RECALL)            AGENCY: 230

  ------TRANS ID------      DATA ELEMENT                DATA ELEMENT          

C    DATE TYP NO  SEQ DUP---NUMBER/NAME------- ---------CORRECTION------------

A 20080309 5 001 00000 0 BATCH EFF DATE        20080401                                      

                                                                              

 

10. Press ENTER to save the changes and verify that the message, "Valid Transactions Added/Changed", is displayed at the bottom of the screen.
 

VERSION 3.1      STARS--ENTER ERROR CORRECTION TRANSACTIONS             S540 

FUNCTION: A (A=ADD, C=CHANGE, F=FRESH SCREEN, R=RECALL)            AGENCY: 230

  ------TRANS ID------      DATA ELEMENT                DATA ELEMENT          

C    DATE TYP NO  SEQ DUP---NUMBER/NAME---- -------------CORRECTION-----------

                                        

                                                         INTERRUPT:    ACTIVE 

VALID TRANSACTIONS ADDED/CHANGED                                              

 

11. Type R in the FUNCTION field, and then press ENTER to confirm the change. You will see two batch headers - both the BATCH EFFECTIVE DATE transaction and the RELEASE transaction.

12. Since the INTERRUPT is still active, press F4 to return to the S502 BATCH BALANCING screen. You will not see any immediate updates here or on the 53 screen. The STARS transactions must process overnight.