This shows you the differences between two versions of the page.
| Both sides previous revisionPrevious revisionNext revision | Previous revision | ||
| general:humanresources:utilities:transfertransactionprocessing:processtransferchecks:body [2018/10/15 18:19] – emoreno | general:humanresources:utilities:transfertransactionprocessing:processtransferchecks:body [2020/09/28 21:26] (current) – emoreno | ||
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| - | <WRAP round intro> | + | <WRAP round intro> |
| </ | </ | ||
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| ^Field ^Description ^ | ^Field ^Description ^ | ||
| - | ^Post to Accounting Period|Select whether to post to the current or next accounting period. During the final processing, when the check transactions are updated to Finance, the following may occur: | + | ^Post to Accounting Period|Select whether to post to the current or next accounting period. During the final processing, when the check transactions are updated to Finance, the following may occur: |
| - | ^Print Check Stock|Select whether to print to Finance or payroll check stock. Actual checks are not printed; however, the selection will determine | + | ^Print Check Stock|Select whether to print to Finance or payroll check stock. Actual checks are not printed; however, the selection will determine which bank reconciliation (Finance or Payroll) the transactions are displayed. The system is set to **Payroll**. All transfer transaction checks are displayed on FIN1250 (Check Register).| |
| ^Check Date|Type the payroll date in the MM-DD-YYYY format. This field is required and represents the date to be printed on the check transactions on the check register. It is recommended to use the wire transfer date.| | ^Check Date|Type the payroll date in the MM-DD-YYYY format. This field is required and represents the date to be printed on the check transactions on the check register. It is recommended to use the wire transfer date.| | ||
| ^Sort Vendors by Alpha or Numerical|Click {{: | ^Sort Vendors by Alpha or Numerical|Click {{: | ||
| - | Click **Preview**. The Transfer Checks Processing page is displayed. All vendors are selected by default. | + | VCV Click **Preview**. The Transfer Checks Processing page is displayed. All vendors are selected by default. |
| ^From Pay Date and To Pay Date|The from and to pay dates are automatically populated based on the unprocessed transfer transactions and not on selected vendors.| | ^From Pay Date and To Pay Date|The from and to pay dates are automatically populated based on the unprocessed transfer transactions and not on selected vendors.| | ||
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| - | Click **Next**. The **From Pay Date** and **To Pay Date** fields are populated based on the unprocessed transfer transactions and not on selected vendors. | + | VCV Click **Next**. The **From Pay Date** and **To Pay Date** fields are populated based on the unprocessed transfer transactions and not on selected vendors. |
| - | Under **Record Checks Printed**, the following fields are selected by default. | + | VCV Under **Record Checks Printed**, the following fields are selected by default. |
| ^Update Transfer Check Transaction Table|This field updates the check number, check date, and check type on the Transaction Maintenance page.| | ^Update Transfer Check Transaction Table|This field updates the check number, check date, and check type on the Transaction Maintenance page.| | ||
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| ^Print Fund Transfer Summary|This field is optional. If selected, a summary of the fund transfer is printed at the end of the check process.\\ | ^Print Fund Transfer Summary|This field is optional. If selected, a summary of the fund transfer is printed at the end of the check process.\\ | ||
| - | Click **Update**. | + | VCV Click **Update**. |
| + | |||
| + | <div indent>A message is displayed indicating that check records and general ledger accounts were successfully updated. Click **OK**. | ||
| + | </ | ||
| - | The Update Transfer Checks Transaction Table is displayed. Click **Close** to return the Process Transfer Checks page. | + | The Update Transfer Checks Transaction Table is displayed. Click **Close** to return |
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