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I am working on a School Management software which includes module for billing of students i.e, fee collection from students.

The fee is collected on monthly basis (12 times a year) and the total monthly fee is combination of various charges, fixed as per class and month. Some of the charges include Tuition Fee, Bus Fee, Printing Charge or others. A fixed amount of late fee is also charged on per month basis starting from the date, which can vary from month to month. Bus fee is charged as per the bus category of a particular student. There is a provision for partial payments as well.

My current approach is like this:

A master table to store fee settings, which include month & class and the fee settings.

feeMaster
    fid  -> Primary key
    month_year -> Stores Month Year
    stu_class -> Class of Student
    tuition_fee -> Tuition fee for that class
    tuition_fee_percent -> Percentage of Tuition fee to take, defaults to 100%
    bus_fee_percent -> Percentage of bus fee
    late_fee_start -> Day of month from which to charge late fee
    late_fee -> fixed late fee on per month basis
    printing_charge -> Printing charge if any
    other_fee -> Other fee if any
    other_fee_reference -> Other fee reference

Every time a student comes to pay his/her fee, calculation is made and a transaction takes place in the system. The details of the transaction are stored in two tables.

Transaction master table is used to store the transactions

transMaster
    tid -> Primary key
    purpose -> purpose of transaction, monthly fee
    amount -> amount of transaction
    type -> transaction mode / cash / cheque / dd
    created -> date

The details of this transaction are stored in another table as

studentFeeDetails
    sfid -> unique id
    tid -> transaction id from transMaster table
    fid -> fee id from fee settings table feeMaster
    tuition_fee -> calculated tuition_fee
    bus_fee -> calculated bus_fee
    printing_charge -> calculated printing_charge
    other_fee -> calculated other_fee
    late_fee -> calculated late_fee
    total_fee -> total fee calculated
    discount -> discount if given any
    amount_payable -> net amount payable
    amount_paid -> paid amount
    balance -> balance - if paid amount is greater or lesser than the original one, 
               it is stored here
    status -> status - true if partial fee else false
    created -> date of creation

This is the current architecture of the module. There is no accounting practices involved and hence creates lots of problems for our accounting deptt.

  • To report the total payable fee for a month, every time, the system runs calculation algorithm on all the students and comes up with figure.
  • To find the pending fee for a class, the system again first checks the receivable fee for that class and removes the entries found in studentFeeDetails table to generate the pending report.
  • There is no proper segregation of fee heads under this system.

Now the current system needs to be converted into proper accounting system which can track the advances and balances.

I am thinking of a system where every month a posting process debits every student's account with the fee due for that month and on every late fee start date another process debits late fee to a student's account, if the fee is still pending.

This approach can keep a check on receivables, pending and received fee.

Please help, if the approach is correct and how to go with it. I am stuck with the db schema part and its implementation.

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Complex topic and I feel this is far too broad for SO. Neverthess, one thing seems obvious to me, I'd normalize the feeMaster table. Your column otherFee already indicates this, I'd create a table like line_item referring to a certain fee_type. –  home Feb 18 '12 at 10:21
    
I have once worked with this type of problem. I am willing to share the database with you... again. –  Raouf Athar Feb 20 '12 at 17:56

2 Answers 2

Best practice in the telco domain is to subdivide this into distinct parts:

  • Charging event mediation: charging events are generated from the downstream business logic and stored in a data store, e.g. a rating table with entries per period, person and event. In your case this would be performed once a month.

  • Rating: calculating the rate per event. In you case this seems to be a lookup in an event type table.

  • Billing: accumulating of rated events per period. In your case this would be a bill run, performed once a month.

  • Accounting: Transfer of the billing result to an account per person, holding a balance, taking into account previous bill runs and cash collections.

  • Invoicing: Based on account data, generate an invoice put into respective distribution process.

  • Cash collection: ensure that you received the money and adjust the account accordingly. This depends on your payment methods.

  • Optionally: dunning: enforce cash collection.

The key here is to make the whole process transparent and debuggable in production. Make each step a separate one with input and traceable output. This is about money and you cannot afford not to have an answer if you run into problems.

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Thanks Bernd, So basically you mean that once in a month a process has to run which will calculate the fee for each student and store it somewhere. Then at the time of collection, a routine will take into consideration student's previous balances and make a transaction in the system. Here is an issue that can arise in terms of part payments. In telco, you have a single billing item, but here billing consists of multiple items i.e, tuition fee, bus fee etc. How to handle this in case of partial payments. –  Ehs4n Feb 18 '12 at 16:15
    
You mean there is no overall bill but students may pay items separately? That is called "split billing". It requires several (sub-)accounts per student plus the logic to map rated events to these accounts during the bill run. Or you simply process the partial payment resulting in a negative account balance. –  Bernd Feb 18 '12 at 22:17

There are few vague requirements in your specifications. Can a student pay partially? I mean pay half of the fees? You will need inputs from those who handle the accounting implement exact solution.

From what I understand so far, you will need to create separate accounting heads in your charts of accounts for all types of fees and an accounting head for deposit. Put these under the Income head. Create separate account (ledger) for every student with account number that matches the admission number or something else which is unique for every student. When a student pays the fees, you will create a Journal entry (General Ledger) which will have the transaction id. This Journal entry will need to be approved. For cash collections this can happen at the end of the day when the cash book is closed and for cheque/dd, this will happen when the amount is transferred in bank (re-conciliation of bank statement).

Once the Journal entry is approved it is posted. Journal should automatically post to all account heads under each Student's ledger. Any access amount paid should go under the "deposit" head in the student's ledger.

To calculate the fees due, you can simply add the balance of each ledger and if the sum is a negative number you have fees due, if it is positive you have excess amount in hand.

Now issues not handled in your requirements are, what happens when a student pays less than the stipulated amount? Which type of fee should be marked as paid in partial, or in accounting terms, under which account head should we add the negative balance. Secondly, what happens to these various fees? Are they transferred to some other accounts? In short you need to understand how expenses are mapped to income and which fee is mapped to which expense, to implement the further accounting.

BTW I dont see any taxes being paid. Is the school tax free ?

share|improve this answer
    
Thanks Vivek, In actual, there is a separate accounting package that they use for real accounting :). They are using Tally ERP for the purpose. Our system only outputs the data to be used in their package. Taxes and other stuff is handled by them. –  Ehs4n Feb 19 '12 at 3:55
1  
Tally has a SDK, you need to integrate with Tally in this case. Ask them how they maintain accounts in Tally and create a replica in the system. Unless you understand the accounting practices of the customer, you cannot have a good implementation. –  Vivek Khurana Feb 19 '12 at 7:53

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