Disbursement Eligibility Jobs
Use the Automated Job Management page to create automated jobs for Disbursement Eligibility. You can also edit Disbursement Eligibility jobs already configured and saved in Financial Aid Automation.
Jobs you create or configure in this form automatically validate disbursement eligibility based on:
- ISIR
- Valid documents
- C Codes
- Professional judgment
- Enrollment status
- SAP (Satisfactory Academic Progress)
- Payment formulas based on payment methodologies
The Student Eligibility process also identifies and generates exceptions to notify configured personnel of disbursements that need to be canceled, revised, or refunded.
When the Disbursement Eligibility job is run, student time attended for Non-SE9W Title IV Grants within a disbursement term and Direct Loans within a Payment Period is evaluated based on the Require Payment Period Attendance option configured within the disbursement approval criteria (DAC). This applies to students enrolled in an AC1 Non-SE9W term and an ELIGBLTY0078 exception ("The student has not met the required attendance in the payment period.") is created when the minimum value is not met.
ELIGBLTY0078 is auto-cleared when the required time attended is posted and meets the configured value for the disbursement's Payment Period/Term that is being evaluated.
When the Disbursement Eligibility Job is run, the system logic used to identify and validate the award year of a disbursement against configured Hold Groups is award year-specific. This ensures that disbursements belonging to a student currently in a Hold Group fail the Disbursement Eligibility Job but only for the proper matching Award Year.
Regulatory US 26.8.0 enhances the Direct Loan disbursement eligibility evaluation to compare the Packaged Enrollment Intensity (PEI) with the student's Actual Enrollment Intensity (AEI) before a disbursement is approved when Enable FA Credits for Enrollment Status and Enrollment Intensity
is enabled in Settings > System > Advanced Features.
Previously, Direct Loans could be packaged using an enrollment intensity of up to 100%, even if the student's actual enrollment intensity later changed. If the award was not updated to reflect the student's current enrollment intensity, incorrect loan disbursements and potential refunds could occur.
For eligible Direct Loan disbursements, the system now verifies that the Packaged Enrollment Intensity matches the Actual Enrollment Intensity. When these values do not match, the system creates the following exception:
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ELIGBLTY0227 — Disbursement evaluation failed due to mismatch in the Enrollment Intensity
This exception allows Financial Aid Officers to review the loan amount and, if necessary, adjust the Packaged Enrollment Intensity before the disbursement is made.
The ELIGBLTY0227 exception is created when the following conditions are met:
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Pell Enrollment Intensity - Packaged = Actual
is enabled in Configuration > Financial Aid > Disbursement Approval Criteria. (Note: The field label will be changed to "Enrollment Intensity - Packaged = Actual" in Anthology Student 26.3.0.) -
The disbursement is a scheduled Direct Loan disbursement.
- Direct Subsidized Loan
- Direct Unsubsidized Loan
- Direct Graduate PLUS Loan
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The Packaged Enrollment Intensity does not match the Actual Enrollment Intensity.
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The disbursement is associated with an eligible Direct Loan fund source and academic calendar(AC 1 SE9W, 2, 3, and 4).
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The award year is 2026–27 or later.
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This evaluation is applicable only for the Automated Disbursement Pre-Payment Eligibility Stage.
The exception is not created in the following situations:
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The Packaged Enrollment Intensity is not populated. In this case, the system treats it as equal to the Actual Enrollment Intensity.
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The Actual Enrollment Intensity is null, and the Packaged Enrollment Intensity is greater than zero.
To resolve the exception:
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Review the student's Actual Enrollment Intensity and Packaged Enrollment Intensity.
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Update the Packaged Enrollment Intensity, if necessary, so it matches the student's actual enrollment intensity.
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Recalculate the applicable eligibility.
The exception is automatically resolved during a subsequent eligibility evaluation when the Packaged Enrollment Intensity matches the Actual Enrollment Intensity.
The Financial Aid Exceptions tile in the Student Web App displays the steps to manage the ELIGBLTY0227 exception and its details as follows:
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Title - Disbursement evaluation failed due to mismatch in the Enrollment Intensity Step 1: Navigate to Student Profile > Financial Aid > Awarding Tile. Step 2: Verify the Actual Enroll Intensity against the disbursement. Step 3: Compare Actual Enroll Intensity with Packaged Enroll Intensity to ensure both are the same. Step 4: Update the Packaged Enroll Intensity to match the Actual Enroll Intensity. Step 5: Click on Recalculate Pell Eligibility for Pell Grant. Step 6: Click on Recalculate for Direct Loans. Note: This exception will be auto-cleared when the disbursement eligibility job evaluates again and confirms that the data is fixed. |
Exception Details (pop-up)
| Actual Enroll Intensity: | <Enrollment Intensity from the Aggregate FA Term Information if the Advanced Feature "Enable FA Credits for Enrollment Status and Enrollment Intensity" is turned on. If not, applies the existing logic.> |
| Packaged Enroll Intensity: | <Value from the awarded fund source> |
| Pell award amount: | <Blank when the exception is for a Direct Loan> |
| Direct Loan Amount: | <Blank when the exception is for a Pell Grant> |
Prerequisites
Authorizations:
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Common - Configuration - View
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Financial Aid Automation – Configuration – Automated Job Management - Run Now and View
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Financial Aid Automation – Configuration – Automated Job Management - Job Sequence - New and Save
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Financial Aid Automation - Configuration - Automated Job Management - Disbursement Eligibility - Edit and New
Access
Configuration > Financial Aid > Automated Job Management > Jobs tab
Add or Edit Disbursement Eligibility Jobs
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To:
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Add a job, select New Job on the toolbar
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Edit a job, select the job in the Name column
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Review, specify, or change the values.
Disbursement Eligibility Options
The Eligibility Stages field provides 6 stages of eligibility, broken up into two separate tiers:
Scheduled Disbursements
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Stage 1 - Pre-Payment
Select this option to specify that disbursements will be evaluated against eligibility criteria before being submitted for payment to COD recipients.
Ready To Pay Disbursements
- Stage 2 - Batched for Payment
Select this option to specify that disbursements in a disbursement batch will be evaluated against eligibility criteria before the batch is posted.
Paid Disbursements
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Stage 3 - Immediate Post-Paid
Select this option to specify that paid disbursements will be evaluated against eligibility criteria immediately after they have been posted to the student ledger.
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Stage 4 - Census Date Post-Paid
Select this option to specify that paid disbursements will be evaluated against eligibility criteria at the census date. You can configure the census date to be used by the Census Date Post-Paid Screen evaluation by campus. If you select the Census Date option, you have 3 choices as to when this will occur:
- Scheduled Disb. Date + number of days
- Term Start Date + number of days
- Add/Drop Date + number of days
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Stage 5 - Mid Term Post-Paid
Select this option to specify that paid disbursements will be evaluated against eligibility criteria at the mid-term date.
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Stage 6 - End of Term Post-Paid
Select this option to specify that paid disbursements will be evaluated against eligibility criteria at the end-of-term date.
If a disbursement fails any eligibility validation, a new exception is created. A "Schedule Refund" check box enables users to choose whether refunds should be scheduled during any of the postpaid stages of that job. Selecting the check box causes the system to schedule refunds when the job is executed and create necessary eligibility exceptions. If the check box is cleared, refunds are not scheduled when that job is executed, any necessary eligibility exceptions are created, and the "Post Payment Enter number of days Schedule Refund Past System Date" field is disabled for a user adding or editing disbursement eligibility jobs. Exceptions will only be auto-cleared after the refunds are posted successfully to the ledger card. Until then, the exceptions will remain open even though the disbursements are paid.
The following requirements must be met for the student to be validated by the Post-Paid job:
- The student is in a status of Active, Enrolled, or Temporary Out
- The paid disbursement's transaction date occurred after the Post-Paid job was created for any campus in the system
- The term in question has ended or is ending today (system date)
- The disbursement has not failed a previous Post-Paid Eligibility job
- The disbursement has not already been evaluated for the Post-Paid stage
- The disbursement is associated with a term
Census Date
Enter the appropriate number of days in the fields below:
Enter number of days beyond the Scheduled Disbursement Date Enter number of days beyond the Term Start Date Enter number of days beyond the Add/Drop Date plus days Payment Options
Enter the appropriate number of days in the fields below:
Enter number of days Pre-Payment Excludes Disbursement days in the future to be reviewed Enter number of days Pre-Payment Excludes Disbursement days into the past to be reviewed Post Payment Enter number of days Schedule refund Past System Date Staff Notification
Based on your selection in the Assignment Method field, either the Staff Groups or the Staff Member field appears.
Schedule
The Recurrence and Days fields only appear based on your selection in the Frequency field. You can configure the rotation of days using a Frequency of Daily. This allows you to configure a job to execute on the day specified under Days. The job will be executed and completed when the day and time occur. If you update the job schedule by changing the Start or End Date or the Days, the system creates new schedule entries and replaces the old schedule.
Tip: If you try to create a job that is already saved with the same criteria, a duplicate job validation message is displayed. The message has links for each saved job. When you select any of the links, a new tab displays the job details for your review.
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Save your changes.
| This feature applies to U.S. compliance only. |