Collection balance update is run as part of month end process to update the customers collection balance for the period.
- In the menu, expand Publishing Modules > Rights & Permission > Period Processing and Others > Collection Contracts > Month End Processing and double-click RY Collection Contract Balance Update. RYO460 Collections Balance Update panel appears.
- Enter the period to update the balance for.
- Click OK to update collections balance for selected period.
| Note |
You can view the customer balance by period by subrights using option Balance in RYW010 Work with Royalty Contracts. |


