Record vendor and payee checks
You can use
Check transactions
to record payments to vendors and payees. You can modify or delete unprinted check transactions at any point, but you can't void or reverse them. Once a check has been printed, you can't edit the check details, but you can modify the distributions, journal, and posting period.When you press Tab (or Enter, if you marked the
Use Enter key to move between fields
checkbox in the System
tab of the User Preferences
window) in the ID and Payee fields, the application automatically enters the data in those fields from the last saved transaction. If you don’t want to repeat the information from the last saved transaction, you can enter or select new information, press Ctrl + spacebar on your keyboard to leave the field blank and move to the next field, or disable the auto-filling behavior by marking the Don’t auto-fill values from the previous transaction checkbox in the Edit
then Options
window.The application automatically uses the date from the last saved transaction for subsequent transactions, but you can override that date as necessary.
- SelectActions,Enter Transactions, then selectCheckfrom theTypedropdown list.
- Use the tabbed pages to enter the following additional information:
- On theDistributionstab, distribute the check to 1 or more accounts.note
- If you select a GL account associated with a bank account, the application will automatically create a corresponding proxy transaction.
- For 1099 items, you can select the ellipsis
the grid to open the Detailswindow, where you can enter detailed information about the distribution.
- On theAddresstab, verify or select the vendor's mailing address (the address for which theMailing addresscheckbox is marked in theMaintab of theVendorsscreen), but you can selectSelection
next to the 1st field to select a different address. - On theDirect Deposittab, review the direct deposit allocation information. This information can't be modified on this tab.
- On theNotestab, enter any miscellaneous information that may be helpful when you are reviewing check transactions. If you enter any information in this tab, the application displays a Note icon
in the Notes column for the transaction. - On theEventstab, review the recorded events for the check. Recorded events include adding, finalizing (entering as handwritten, changing to handwritten, or printing), and voiding the transaction.
- If you set up any transaction templates or amortization schedules for checks, you can select the applicabletemplatefrom the dropdown to have the application enter the default information that is included in the template. You can override any of the default information, as necessary.
- If this is a handwritten check, mark theHandwrittencheckbox and enter the check number.note
- TheDatefield defaults to the system date and theCheck #field defaults to the next check number for the selected bank account. You can override both fields.
- Handwritten check transactions represent physical checks that were written from the selected bank account and that need to be recorded in Accounting CS to ensure that the balance in Accounting CS matches the actual bank balance.
- Enter the following check details:
- Enter theDate.noteThis is required. If this is a handwritten check, you'll need to enter a date.
- Enter theIDandPayee.noteThePayeefield is required. If you select a vendor ID, the application populates thePayeefield with the vendor name.
- Enter theAmount.noteAn amount is required. If not entered, the application sums the distribution amounts and enters that number in this field.
- Enter aMemoif needed. This text will print on the check's Memo line.