This page was relocated to Finance > Utilities as a result of the Bank Reconciliation application implementation.
Finance > Maintenance > Bank Reconciliation > Positive Pay Export
This tab is used to retrieve check numbers from a specified bank account group and date range. You may print a report or export the list.
Click Retrieve. The system displays all check numbers for the selected bank account group and date range.
Click Create File to export a list of the check numbers.
Click Open to view the file, or click Save to save the file. Otherwise, click Cancel to cancel the creation of the file and return to the Positive Pay Export tab.
If you click Save, a Save As dialog box is displayed.
Click Print to display the Positive Pay Check Export List report.
Review the report using the following buttons:
Click to go to the first page of the report.
Click to go back one page.
Click to go forward one page.
Click to go to the last page of the report.
The report can be viewed and saved in various file formats.
Click to save and print the report in PDF format.
Click to save and print the report in CSV format. (This option is not available for all reports.) When a report is exported to the CSV format, the report headers may not be included.
Click X to close the report window. Some reports may have a Close Report, Exit, or Cancel button instead.
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