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finance:maintenance:checkprocessing:printchecks

Print Checks - FIN3300

Finance > Maintenance > Check Processing > Print Checks

This tab is used to process and print checks, and post the transactions to Finance. Only the Beginning Check Number and Check Date fields are required.

If a check has more than 15 entries and cannot be displayed on one check stub, the system prints one check with the total amount and SEE VENDOR CHECK TRANSACTION DETAIL is printed on the check. The detail of the transactions is displayed as a separate report when updating the check transactions. The Vendor Check Transaction Detail Report is sorted by the invoice number and then account code if the invoice number is the same.

Notes:

  • Before running the process, it is highly recommended that you export the Finance tables.
  • Grants and Projects payments cannot be processed in Finance and vice versa.

Finance Check Proof
Two-signature Test Pattern Page
Three-signature Test Pattern Page

Finance checks are printed in the following font:

  • Top section: Courier 8 point font size
  • Middle section: Courier 12 point font size
  • Bottom section: Courier 8 point font size

❏ Complete the following fields:

Field Description
Beginning Check NumberPopulates based on the last check stock number used, but it can be modified.
Beginning EFT Reference Number

Populates based on the last EFT reference number used, but can be modified. The field displays an “E” at the beginning of the EFT reference number, which identifies the transaction as an electronic funds transfer throughout the application.

Note: EFT transactions are excluded from positive pay.

Check DateType the date in the MM-DD-YYYY format, or select a date from the calendar. This field represents the date of the check/EFT payment.
Fund

Type the fund/fiscal year that has outstanding checks. You can enter the fund/fiscal year with or without the slash (e.g., 161/5 or 1615). Use a comma (with no space and no other symbols) to separate multiple funds.

Click Ellipsis Icon to search for multiple funds/years. To use all funds, leave the field blank. When using the Student Activity Fund option on the District Finance Options page, and Student Activity Fund checks were created, they must be separate from all other funds' checks. To process Student Activity Fund checks, enter only the Student Activity Fund (e.g., 865) in the Fund field.

Check Select Date Range: FromType the beginning date in the MM-DD-YYYY format, or select a date from the calendar. Include the earliest check transaction posting date, or leave blank for all outstanding checks.
Check Select Date Range: To

Type the ending date in the MM-DD-YYYY format, or select a date from the calendar. Include the latest check transaction posting date, or leave blank for all outstanding checks.

If the Payables Date Used field in Finance Options is set to T - Use transaction date for payables, check transactions are included on the check if the transaction date is in the date range.

If the Payables Date Used field in Finance Options is set to D - Use due date for payables, check transactions are included on the check if the due date is in the date range.

Apply any credit memos up to the amount of the total invoices

This field is set to Yes by default. If Yes is selected, the credit memo amount is deducted from the total Check Amount and is displayed in the Credit Amount field. If the invoices entered for a vendor exceed the amount of the credit memo, a zero check is issued to the vendor listing the invoices and credit memos associated with the check. The credit memo balance is reduced by the check amount, and the remaining credit memo amount is available when new invoices are entered for the vendor.

Select No to not apply credit memos. If No is selected, the credit memo amount is not deducted from the Check Amount or displayed in the Credit Amount field. Any credit memos are ignored and a check is processed.

Sort Vendors by Alpha or Numerical

Click Drop-down Arrow to select to sort vendors by Alpha or Numeric.

If Alpha is selected, the checks and EFTs are sorted by the vendor sort key.

If Numeric is selected, the checks and EFTs are sorted by the vendor number.

❏ Click Preview. The Vendor Check Processing page is displayed with a list of all transactions (PO, PA, and credit memo transactions are included) to be processed. All transactions listed are selected by default and included in the totals at the bottom of the page.

❏ Select the top-level checkbox to select/unselect the list of transactions. Or, select individual checkboxes to only select specific transactions.

Vendor NumberDisplays the vendor number.
Vendor Sort KeyDisplays the vendor sort key.
Vendor NameDisplays the vendor name.
Check AmountDisplays the check amount.
Trans AmtDisplays the total transaction amount.
Credit AmtDisplays the total amount of credit memos applied to the check.
Separate CheckThis field is set to Y if Separate Check is selected for the transaction on the Check Processing - PA or Check Processing - PO maintenance pages.

If Separate Check is not selected for the transaction, N is displayed. If you want separate checks, return to the Check Processing - PA or Check Processing - PO tabs, select the PA or PO number that contains the transaction and select the Separate Check field for the transaction.

Separate Check Information
EFT PaymentThis field is set to Y if EFT is selected for the transaction on the Check Processing - PA or Check Processing - PO tabs. If Y, the payment is disbursed via an electronic funds transfer.
If EFT is not selected for the transaction, N is displayed. If you want to change it to an EFT, return to the Check Processing - PA or Check Processing - PO tabs, select the PA or PO number that contains the transaction and select the EFT field for the transaction.

The vendor must have an EFT email address on file to be eligible for an electronic funds transfer.
PO/PA NumberThe purchase order (PO) or purchase authorization (PA) number for the transaction is only displayed if Separate Check is selected for the transaction on the Finance > Maintenance > Postings > PA or PO tabs.
Check TypeThe transaction type is displayed; purchase order (PO) or purchase authorization (PA).
Check NotesType any notes to be displayed on the check. The field is not saved in the database and is limited to 60 characters.

The Selected Check Amount, Check Transaction Amount, and Credit Amount Totals are displayed at the bottom of the tab and are automatically updated as you select/unselect transactions.

Selected Check AmountThe total amount of the selected checks and EFT transactions is displayed.
Check Trans Amount TotalThe total amount of the selected transactions is displayed.
Credit Amount TotalThe total amount of the selected credit memo transactions is displayed.

❏ Click the Check Signatures button to select the signature(s) to print on the check(s).

❏ Click Next. A preview of the checks to be printed is displayed. Review the report.

Use the scroll bars to view the check details.

❏ Under Print Options, select one of the following:

  • Vendor Checks - Selected by default and displays the vendor checks to be printed.
  • Non-Negotiable Vendor Checks - Select to display the non-negotiable check pages for each transaction, which can be printed for internal use.

❏ If EFT transactions are included in the process, click Next to view the EFT Payment Detail report.

❏ Click Next. A list of the transactions to be processed is displayed.

❏ Under Last Recorded Checks:

Check NumberDisplays the last recorded check number from the list of selected check/credit memo transactions .
EFT NumberDisplays the last recorded EFT number from the list of selected EFT transactions.

❏ Under Report Options, select the reports to be generated (Fund Transfer Summary Report and/or Credit Card Transfer Summary Report).

❏ If a check did not print for any of the listed vendors, unselect the Post check box for the transaction and click Update to post the transactions.

❏ Click Update to post the transactions. The selected reports are generated in a separate window. Review the report.

A message is displayed indicating that the print checks process was completed successfully.


❏ Click Finish to return to the Print Checks tab.

If any errors occur during the process, the Cancel button is displayed.


❏ Click Cancel to return to the Print Checks tab, correct any errors and run the process again.

finance/maintenance/checkprocessing/printchecks.txt · Last modified: 2023/11/17 20:40 by emoreno