Check Master (tfcmg2115s000)
Use this session to maintain checks to carry out payments.
Checks can be maintained for a combination of bank relation and payment method.
Field Information
- Bank
 - 
            
The bank relation used for checks.
 - Payment/Receipt Method
 - 
            
The payment method code.
 - Check Number
 - 
            
The number of the check.
You must enter a check number from a series of checks you received from your bank. You can also define series of checks in the Add New Range of Checks (tfcmg2210s000) session.
 - Check Details
 - 
            
- Check Status
 - 
              
The current status of the check.
 - Pay - to B. Partner
 - 
              
The pay-to business partner code. You can use checks for payments to this business partner.
 - Pay - to B. Partner
 - 
              
The first part of the business partner's name.
 - Check Address
 - 
              
The business partner's address.
 - Date Outstanding
 - 
              
The document date of the check.
 - Outst. Reconc. Doc.
 - 
              
The transaction type that you can use to reconcile the anticipated payments represented by the check created in the Anticipated Payments (tfcmg2110s000) session.
 - Document outstanding
 - 
              
The number of the document for which you have given the check.
 - Payment Batch
 - 
              
The payment batch to which the payments belong.
 
 - Cash Details
 - 
            
- Currency
 - 
              
The currency used for making payments.
 - Transaction Amount
 - 
              
The amount of the check.
Note: This amount is expressed in the currency you entered in the preceding Currency field. - Transaction Amount
 - 
              
The home currency.
 - Rate
 - 
              
The rate at which a currency can be exchanged for another currency.
 - Amount in Home Currency
 - 
              
The amount of the check in home currency.
 - Rate Factor
 - 
              
The value by which the currency rate must be divided to convert foreign currency amounts to the home currency.
 
 - Reconc. Details
 - 
            
- Reconciled on
 - 
              
The date used for reconciliation. (Your bank has paid the check and debited your account for the amount).
 - Reconciliation Document
 - 
              
The transaction type in which the check was reconciled. Together with a document number, this is the bank's reconciliation code.
 - Reconciliation Document
 - 
              
The number of the paid reconciliation document.
 - Batch Reconciliation
 - 
              
The batch number of the reconciliation document.
The anticipated payment entries for this batch are reversed after you make the payments.