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Panel

Table of Contents

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Have the options to Re-issue and Print Checks and to Resequence checks.  (Issued Date can be added by going to the More option)

Issued Date = date entered when running Outstanding Payables

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The information on the right of the check is the check stub.  This is the default form setup.  If the user wants a different setup, they can create their own format.


Resequence




Enter in Original Start Number of bad checks.  This is a required field.

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This program handles Reconciliation of single Electronic Transfers or ranges of Electronic Transfers. An Unreconciling option is also available for Electronic Transfers that are reconciled in error and must be reversed.  (Issued Date can be added by going to the More option)


Reconcile

Select Payment Number to Reconcile

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