This guide provides step-by-step instructions to configure the Aargh Software CSV2EFT application for use with Rent Manager.
1. Install the Application #
- Download and install the CSV2EFT application:
- Access the application via this link: https://aarghsoftware.com/CSV2EFT/RentManager.CSV2EFT.application
- Follow the prompts to complete the installation.
2. Configure Rent Manager Custom Reports #
Add the following custom Report Writer reports to Rent Manager:
- Tenant Reports:
- Tenant
- Aargh EFT Customer
- Aargh PAP List
- Owner Reports:
- Owner
- Aargh EFT Owner
- Aargh EFT Owner Manual
3. Set Up User-Defined Fields (UDFs) #
Add the following UDFs in Rent Manager to store banking and EFT-related information.
Property UDFs #
- Originator_Number:
- Description: The bank-provided originator number (e.g., “aargh-12345678”). Format as RM Corp ID followed by a dash and the bank’s originator number.
- Note: If the same for all properties, move to System UDF (see below).
- Returns_Account_Number:
- Description: The bank account number where NSF (Non-Sufficient Funds) transactions are posted.
- Note: If the same for all properties, move to System UDF.
System UDFs #
- Originator_Name:
- Description: Typically the name of your company or system.
- Institution_Branch:
- Description: Your bank’s institution and branch number (e.g., 123456789). Do not include spaces.
- PAP_Charges:
- Description: List of charge types for the PAP report.
- Set to: RC,UTILP,PARK,NSF,ADJUST
Tenant UDFs #
- Bank:
- Format: 3-5 numeric characters.
- Branch:
- Format: 1-5 numeric characters.
- Account Number:
- Format: 1-17 alphanumeric characters.
Owner UDFs #
- Bank:
- Format: 3-5 numeric characters.
- Branch:
- Format: 1-5 numeric characters.
- Account Number:
- Format: 1-17 alphanumeric characters.
4. Add PAP Charge Type #
Configure the PAP (Pre-Authorized Payment) charge type in Rent Manager:
- Navigate to the appropriate settings menu.
- Add a new charge type for PAP.
- Ensure the charge type aligns with the PAP_Charges UDF values: RC,UTILP,PARK,NSF,ADJUST.
5. Add Banking Tabs in Rent Manager #
Add the following tabs to store banking information:
- Customer Bank PAP Settings: For tenant banking details.
- Owner Bank PAP Settings: For owner banking details.
- Property Bank Settings: For property-specific banking details.
6. Configure Property UDF Data #
Set up property-specific UDFs by importing data into Rent Manager:
- Create a Quick Report:
- Include property short codes and names.
- Export the report as a CSV file.
- Modify the CSV:
- Add two columns: Originator_Number and Returns_Account_Number.
- Populate the columns:
- Originator_Number: Use the format “RM Corp ID-bank originator number” (e.g., aargh-12345678).
- Returns_Account_Number: Enter the bank account for NSF returns.
- Import the CSV:
- Use Rent Manager’s import tool to upload the modified CSV.
- Verify the data has been correctly applied to the Property UDFs.
7. Create an Import Payment Template #
Set up a template for importing payment data:
- Test Import:
- Use a sample CSV file provided by Aargh Software.
- Attempt to import the file into Rent Manager.
- Save the Template:
- During the import process, save the mapping as a template for future use.
- Ensure all fields (e.g., tenant, owner, and banking details) map correctly.
8. Verify Configuration #
- Confirm that all UDFs, reports, and tabs are correctly set up.
- Test the CSV2EFT application by running a sample PAP report.
- Ensure the PAP_Charges UDF values (RC,UTILP,PARK,NSF,ADJUST) are correctly applied.
Notes #
- If using a single originator number or returns account number for all properties, configure these in the System UDFs instead of Property UDFs to avoid duplication.
- Contact Aargh Software support if you encounter issues with the application or CSV imports.