Creating a payroll check record
Use this procedure to manually add a payment for bank account balancing.
- Select Payroll Administrator > Off Cycle Processing > Bank Reconciliation.
- Click Create.
- Specify this information:
- Bank Account
- Specify the bank account.
- Payroll Check
- Specify the payroll check.
- Check Type
- Select Adjustment, Manual Check, Manual Direct Deposit, Interest, or Withdrawal.
- Check Suffix
- Optionally, specify a check suffix.
- Check Date
- Optionally, specify a check date.
- Sub Status
- Optionally, select Escheated, Escheated With Government, Hold, Reissue Payment, or Cashed.
- Check Amount
- Optionally, specify the amount of the check.
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Click Submit.
If the check type is Adjustment, Interest, or Withdrawal, the payroll check is added in a Reconciled status with a reconcile date that defaults to the check date.