❏ Under Print Check Stock:

FinanceSelect to print to finance check stock. If is selected, the Beginning Check Number field is populated with a finance check number.
Payroll Select to print to payroll check stock. elect whether to print to finance or payroll check stock. Selected by default, and the Beginning Check Number field is populated with a payroll check number.
Beginning Check NumberPopulated based on the Print Check Stock field selection, but can be modified.
Check DateType the payroll date in the MMDDYYYY format. This field represents the date to be printed on the checks.
Sort Vendors by Alpha or NumericalClick Drop-down Arrow to select whether vendors are sorted in name or number order.

❏ Click Preview. The Vendor Checks Processing page is displayed.

On the Deduction Checks Processing page, all vendors are selected by default.

Note: If a remittance vendor name was typed in the Finance > Maintenance > Vendor Information > Vendor Name/Address tab, the remittance vendor name (not the original vendor name) is displayed in the Vendor Name field on the checklist.

❏ Click Next. The Deduction Checks Processing page now displays a sample alignment check.

❏ If the sample check is acceptable, click Next. The Vendor Checks Processing page now displays the actual check that is ready for printing.

When you click Next, the system populates the From Pay Date and To Pay Date fields. These dates are based on the unprocessed deduction transactions and not on selected vendors.

The following fields display under Record Checks Printed:

❏ Click Update. A message box is displayed asking the user to verify that the checks have been printed. Click Yes to update the records.

❏ Click Execute to start the function or Cancel to close the page without updating the check transactions and the general ledger. If Cancel is selected, then a confirmation message is displayed.

The Fund Transfer Summary report is displayed. Review the report.

❏ Click Close to return to the first Deduction Checks Processing page.