PR> Manual Checks

Commit the Batch

 

Summary

 

After the manual checks have been added to the batch, generate the reports and commit the batch.

The Commit step will create the following:

  • Generate a check in the Bank Reconciliation module
  • Post a journal entry to the General Ledger module
  • Generate an invoice in an Accounts Payable module Invoices batch (if there is a deduction or benefit attached to a check in the batch that is set up to be paid to an AP vendor)
  • Generate a direct deposit transaction in the Clearing House module Direct Deposits process (if there is a direct deposit deduction attached to the manual check)

 

Related Links

 

Click here for an overview of the Manual Check process.

 

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