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The Payment Transaction Status Report lists the check number; check status and type; employee ID, deduction code, or vendor number (depending on the check type); name; issue date; period ending date; date voided; date reconciled; gross pay; amount; and net pay.

Field Definitions:

Save and Recall option  allows the users to create and save certain reports  for different report runs for each report option.  The Default option is the original SSDT report and the Most Recent is the last report that was ran by the user.  If the report is no longer needed, click on to delete the report. The Default reports cannot be deleted.  

Select the 'Report Format' from the drop down box

  • PDF (download)
  • Comma Separated Value (CSV)
  • Excel-Data

The Sort Options field offers the following choices:

  • Check Number
  • Employee Name
  • Employee Number
  • Check Status
  • Payroll Item Code

The Payment Transaction Type Options field offers the following choices:

    • All Types



  • Deduction Checks
  • Group Deduction Checks
  • Electronic Transfers


      • Select the Payroll Items Codes available to the Selected field.  To search for a single payroll item code, enter the code.  To include all codes, leave the 'Selected' field blank.

  • Payroll Checks
  • Refund of Payroll Item Check


      • Select the available Employees to the Selected field. To search for a single employee, enter a few of the beginning letters of the employees last name.  To include all Employees, leave the 'Selected' field blank.
  • Manual Checks

The Payment Transaction Status Options field offers the following choices:
  • All Status
  • Direct Deposits
  • Reconciled
  • Paid
  • Void

Select the Bank Account from the drop down box 

Enter a Starting Check Number.  A 0 check number is equivalent to blank.

Enter a Ending Check Number.  A 0 check number is equivalent to blank.

Enter a start date in the Issue Start Date field

Enter a stop date in the Issue Stop Date field

Enter a start date in the Reconciliation Start Date field

Enter a stop date in the Reconciliation Stop Date field

Enter a start date in the Void Start Date field

Enter a stop date in the Void Stop Date field

Enter a start date in the Period Ending Start Date field - This option is only available when 'Payment Transaction Type Options' are Payroll Checks or Refund of Payroll Item Checks.

Enter a stop date in the Period Ending Stop Date field - This option is only available when 'Payment Transaction Type Options' are Payroll Checks or Refund of Payroll Item Checks.

Once all selections have been entered, click on .

Example of a Payment Transaction Status Report:


How days and hours are calculated

Longterm Illness

  •  The number entered in the employee's Long Term Illness field on Core/Employee screen:

EMIS Attend

  • Hourly employees
  • Daily employees

EMIS Absence

  • Hourly employees
    • Take all of the relevant absences from the date range entered, divide by the number of hours on the employee's compensation.
  • Daily employees
    • Take all of the relevant absences from the date range entered. 




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