PR> Manual Checks> Generate
Generate a Manual Checks Batch
Step by Step
1 Create or open a Manual Checks Batch.
- Select the Manual Checks palette in PR> Manual Checks. This will expand the Manual Checks
palette and display the steps of the Manual Checks process.
- Modify an existing batch or create a new batch.
- Select a batch number from the drop-down menu at the top of the
Manual Checks batch to open an existing batch.
- If you would like to create a new batch, select New in the drop-down
menu at the top of the Manual Checks palette. This will open the New
Batch window. Click here
for information on the New Batch window.
- The batch month and batch year of the Manual Checks batch
determines which year to date quarter and year the checks in the batch as posted
to.
- Highlight the batch in the batch number drop-down menu on the
Manual Checks palette and press DELETE or click the Delete icon
to delete a batch. Any uncommitted checks
in the batch will be deleted.
2 Select the bank account.
- The Settings step determines which bank account the manual checks
have been written out of.
- Open the Settings window (PR> Manual Checks> Settings).
- The Bank Account field is used to select the bank account
where the manual checks were drawn.
The GL cash account attached to this bank account will be credited for
the amount of the manual check when the Manual Checks batch is committed.- You can select only one bank account per Manual Checks batch. If you
would like to enter manual checks from multiple bank accounts, you will
have to enter those checks into separate Manual Checks batches.
- The Bank Account field will default to the bank account
defined on the Setup window (PR> Utilities> Setup> General tab> Bank Account
field).
- Only bank accounts that are set up to be used in the Payroll module
will display in the drop-down menu.
- Bank accounts are set up to be used in the Payroll module by
checking the Payroll toggle on the Bank Account Maintenance window (SS>
Maintenance> Bank Account> Payroll toggle).
A GL cash account is attached to a bank account using the Bank Account
Maintenance window (SS> Maintenance> Bank Account> Cash Account field).
- Click
here for information on Bank Account Maintenance.
- Press ENTER or click the Save icon
when complete. The Settings
step does not generate a job on the Jobs Scheduler, so you will be able to move
to the next step immediately.
3 Once the batch has been created, enter the manual checks.
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