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.
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.