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| general:runpayroll:createdeductionchecks [2019/11/01 15:11] – emoreno | general:runpayroll:createdeductionchecks [2020/11/19 20:13] (current) – emoreno | ||
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| - | \\ [[humanresources: | + | =====Process deduction checks===== |
| - | Create | + | Use the following tabs to process |
| + | VCV [[payroll: | ||
| - | {{page> | + | VCV [[payroll: |
| - | [[humanresources: | + | VCV [[payroll: |
| - | Under Post to Accounting Period field, select Current to post to the current | + | {{:general:processpayroll_createtransactions_step21.jpg|Deduction Checks Page}} |
| - | accounting period. During the final processing, when the check transactions are | + | |
| - | updated to Finance, the following may occur: | + | |
| - | zz If Finance end-of-month processing is being performed against any file ID, you | + | |
| - | may not post to either accounting period. | + | |
| - | If the current and next accounting periods are the same and the current | ||
| - | accounting period is closed, a message is displayed indicating that the current | ||
| - | accounting period XX is closed, and that the next accounting period is also set | ||
| - | to XX. You are not allowed to post at this time. Click OK to return to the Process | ||
| - | Deduction Checks tab. | ||
| - | zz If the current accounting period is closed, a message is displayed indicating that | ||
| - | the current accounting period XX is closed. You are not allowed to post at this | ||
| - | time. Click OK to return to the Process Deduction Checks tab. You can select the | ||
| - | next accounting period for posting, if desired. | ||
| - | 2. Under Print Check Stock field, select Payroll. | ||
| - | zz Payroll is selected by default and populates the Beginning Check Number field | ||
| - | with a payroll check number, which can be modified. | ||
| - | zz If you select Finance, the Beginning Check Number field is populated with a | ||
| - | finance check number. | ||
| - | 3. In the Check Date field, type the payroll date in the MMDDYYYY format. This field | ||
| - | represents the date to be printed on the checks. | ||
| - | 4. In the Sort Vendors by Alpha or Numerical field, select Alpha to sort by vendor name. | ||
| - | If changes are needed, return to the Transaction Maintenance tab prior to printing the | ||
| - | checks. | ||
| - | 5. Click Preview. The Vendor Checks Processing page is displayed. | ||
| - | 6. On the Deduction Checks Processing page, all vendors are selected by default. | ||
| - | The Unselect All button is used to clear all check boxes. | ||
| - | 7. The From Pay Date and To Pay Date fields are automatically populated. These dates | ||
| - | are based on the unprocessed deduction transactions and not on selected vendors. | ||
| - | 8. The Vendor Nbr and Vendor Name fields are automatically populated. | ||
| - | 9. The Check Amt field displays the amount to be printed on the check.Note: If a remittance vendor name was typed in the Finance > Maintenance > Vendor | ||
| - | Information > Vendor Name/ | ||
| - | original vendor name) is displayed in the Vendor Name field on the checklist. | ||
| - | 10. Click Next. The Deduction Checks Processing page displays a sample alignment check | ||
| - | in a new window. | ||
| - | 11. Click Check Signatures to select the required signature.Signatures are managed in | ||
| - | District Administration. | ||
| - | 12. Click OK to accept the selected signatures. | ||
| - | 13. Click Print to print a copy of the sample check. If the sample check is acceptable, click | ||
| - | Next. The Vendor Checks Processing page displays the actual check that is ready for | ||
| - | printing. | ||
| - | Notes: | ||
| - | zz Always update the Transaction and Finance tables. | ||
| - | zz If the deduction checks are printed on payroll check stock, then you do not have | ||
| - | to transfer funds. The money for deduction checks would have already been | ||
| - | transferred to payroll clearing 863 or 163 with the payroll transfer. | ||
| - | 14. Click Update. A dialog box is displayed prompting you to verify that the checks have | ||
| - | been printed. | ||
| - | zz Click Yes to update the records. Create a system backup of the Finance and | ||
| - | Payroll tables. | ||
| - | zz The Fund Transfer Summary report is displayed, as well as a message indicating | ||
| - | that the checks were successfully updated. | ||
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