ERP proposal/Fees & dues
PROPOSED SOLUTIONExplore demo

Module 03 / 13 · Student lifecycle

Fees & Dues

Keep a separate fee ledger for every applicable year. Show student payments separately from scholarships, with traceable receipts, concessions, refunds and outstanding instalments.

Fee structuresYear-wise ledgerReceipts & refundsInstalments & duesReconciliation

The working flow

What happens, step by step

  1. Finance approves the fee structure for programme, batch and year.
  2. Accounts assigns charges and an instalment schedule to the student.
  3. Approved concessions and adjustments change the net payable amount.
  4. Accounts posts verified student payments and issues receipts.
  5. Only received and allocated scholarship money is credited to fees.
  6. The ledger recalculates outstanding, overdue and excess credit; approved refunds remain visible.

How this connects

Fee structure comes from admission and programme data. Scholarship credits originate in verified scholarship receipts. Library fines and approved other charges can link by reference without duplicate collection.

One owner for every action.
The responsible office enters and maintains its records. The named verifier checks accuracy; the approver authorises decisions. Every material change retains the actor, date and reason.
Explore this workflow →

Worked example · fictional student

First year to final year: one clear fee statement

Aarav Sharma · B.Tech, Computer Science · As of 13 September 2026.

Study yearChargesConcessionStudent paidScholarship creditedOutstanding
Year 1₹75,000₹0₹50,000₹25,000₹0
Year 2₹80,000₹5,000₹50,000₹25,000₹0
Year 3₹85,000₹0₹40,000₹30,000₹15,000
Year 4₹85,000₹0₹30,000₹20,000₹35,000
Year 4 example: ₹85,000 assessed − ₹30,000 student payment − ₹20,000 scholarship credit = ₹35,000 outstanding. A pending ₹10,000 scholarship receipt does not reduce this balance. Outstanding and overdue are separate: the remaining Year 4 amount is not overdue until its instalment deadline passes.

What the accounts officer opens

Student → academic year → fee heads → instalments → receipts → concessions / refunds → outstanding. Every year has an independent ledger and a linked receipt history.

What the student / parent sees

Annual assessed amount, student payments, scholarship credits, receipts, upcoming due dates, overdue amount and excess credit. Approved institutional entries are read-only.

The record specification

Fields, requirements & responsibility

Each row identifies the input, when it is needed and who is responsible.

38 field entries

01 / Structure & assessment

13 fields
Structure & assessment: field name, input type, requirement, entered by and verified or approved by
Field nameInput typeRequirementEntered byVerified / approved by
Fee structure ID and versionAutomatic IDSystem generatedAccountsFinance officer
Programme, branch and batchSelectRequiredAccountsFinance officer
Academic year and study yearSelectRequiredAccountsFinance officer
Fee headSelect: tuition / examination / library / otherRequiredAccountsFinance officer
Assessed amountCurrencyRequiredAccountsFinance officer
Instalment numberNumberRequiredAccountsFinance officer
Instalment amountCurrencyRequiredAccountsFinance officer
Instalment due dateDateRequiredAccountsFinance officer
Concession type and reasonSelect / textIf applicableAccountsFinance officer
Concession amount and approvalCurrency / linked approvalIf applicableAccountsFinance officer
Debit / credit adjustment amountSigned currencyIf applicableAccountsFinance officer
Adjustment reason and referenceTextFor adjustmentAccountsFinance officer
Approved net payableCalculated currencySystem generatedSystemAccounts

02 / Payments, scholarships & refunds

14 fields
Payments, scholarships & refunds: field name, input type, requirement, entered by and verified or approved by
Field nameInput typeRequirementEntered byVerified / approved by
Student ID and study yearLinked recordRequiredAccountsFinance officer / reconciliation officer
Transaction IDAutomatic IDSystem generatedAccountsFinance officer / reconciliation officer
Transaction dateDateRequiredAccountsFinance officer / reconciliation officer
Transaction typeSelect: student payment / scholarship credit / refundRequiredAccountsFinance officer / reconciliation officer
AmountCurrencyRequiredAccountsFinance officer / reconciliation officer
Payment methodSelect: cash / bank / UPI / chequeRequiredAccountsFinance officer / reconciliation officer
Bank / UPI / cheque referenceTextFor non-cash paymentAccountsFinance officer / reconciliation officer
Receipt numberAutomatic IDOn verified receiptAccountsFinance officer / reconciliation officer
Payment verification statusSelectRequiredAccountsFinance officer / reconciliation officer
Scholarship receipt and allocation referenceLinked recordFor scholarship creditAccountsFinance officer / reconciliation officer
Refund destination and original paymentText / linked recordFor refundAccountsFinance officer / reconciliation officer
Refund reason and approvalText / approvalFor refundAccountsFinance officer / reconciliation officer
Posted by and posted atAudit recordSystem generatedAccountsFinance officer / reconciliation officer
Reversal / correction referenceLinked recordFor correctionAccountsFinance officer / reconciliation officer

03 / Balances & reconciliation

11 fields
Balances & reconciliation: field name, input type, requirement, entered by and verified or approved by
Field nameInput typeRequirementEntered byVerified / approved by
Total assessed chargesCalculated currencySystem generatedSystemAccounts
Approved concessionsCalculated currencySystem generatedSystemAccounts
Approved adjustmentsCalculated currencySystem generatedSystemAccounts
Total student paymentsCalculated currencySystem generatedSystemAccounts
Student refundsCalculated currencySystem generatedSystemAccounts
Posted scholarship creditsCalculated currencySystem generatedSystemAccounts
Outstanding amountCalculated currencySystem generatedSystemAccounts
Overdue amount as of selected dateCalculated currencySystem generatedSystemAccounts
Excess creditCalculated currencySystem generatedSystemAccounts
Instalment settlement statusCalculated statusSystem generatedSystemAccounts
Bank reconciliation date and remarksDate / textAfter reconciliationAccountsAccounts

Approvals & operating rules

  • Fee changes, concessions, refunds and manual adjustments require finance approval.
  • A sanctioned scholarship is not a payment. Direct-to-student scholarship receipts do not reduce college dues.
  • Every payment, allocation and refund keeps a reference; corrections use reversing entries rather than deleting history.

Keep people informed

Notifications

  • Student / linked parent: receipt issued and upcoming or overdue instalment.
  • Accounts: unmatched payment, unallocated scholarship receipt and excess credit.
  • Finance officer: pending concessions, refund and adjustment requests.

Make decisions clearly

Reports

  • Year 1–final year student payment summary
  • Fee-head collection and outstanding
  • Overdue instalments by batch / branch
  • Concession and refund approval register
  • Scholarship allocations and bank reconciliation

Notification channels, approval thresholds and external integrations are proposed and will be confirmed with the institute. The local demonstration does not send messages.