Report: Check Register

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Revision as of 19:36, 18 August 2014 by Mlively (Talk | contribs) (initial save with vendor payables report)
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The Check Register report is primarily used to list all check transactions recorded to a specific general ledger account.

The report can include all sub-GLs, or be limited to a specific sub-GL. (Example: All Agency Bill company payable checks, or a specific company's checks).

Access and Window Options

The Check Register can be opened by selecting A/P -> Check Reports -> Check Register.

Access to the Check Register is controlled through the security system A/P -> Check Register -> View setting.

Menu-chkreg.png

Optionally a Check Register report can be generated from the Express Checks Interface while viewing an existing Check Transaction.

Report Examples

Non-Policy Related Checks (Vendor Payables)

Checks created through the Non-Policy Related Checks interface are saved to GL 2130: Vendor Payables. The report can be completed for a specific vendor, or for all vendors.

  1. Select A/P -> Check Reports -> Check Register.
  2. Enter the desired Start Date and End Date.
  3. Select a Run by... date method of either Entry date or Effective date.
  4. Leave Operator and Department blank.
  5. Enter GL -> 2130. (Vendor Payable)
  6. Enter the Vendor Code in the Sub GL field. (Example:GUL for vendor Grocery Unlimited)
    Menu-chkreg-2130wsub.png
  7. Select Preview or Print.