Options
- Print in (C)heck # or (D)ate Order
- Specify C to print transactions in check number order.
If you are comparing your bank statement with this report, print in check number order
since most bank statements are printed this way.
- Print (C)leared, (U)ncleared, or (B)oth
- Specify C to print only cleared transactions. Those
are transactions that are cleared but not balanced.
- Specify U to print only uncleared
transactions.
- Specify B to print both cleared and uncleared
transactions.
- Print (A)ctive, (I)nactive, or (B)oth
- Specify A to print only active
transactions.
- Specify I to print only inactive
transactions.
- Specify B to print both active and inactive
transactions.
- Print Voids (Y)es, (N)o, or (O)nly
- Specify Y to included voided checks on the
report.
- Specify N to exclude voided checks.
- Specify O to only print voided check transactions on
the report.
- Voided checks are included in the totals and grand totals. If a check is
voided, but the void data is not included in the range of dates that are selected to
print, the original check includes a reference to note that the check has been voided.
The amount of the check is still included in the totals.
- For example, if a check is written on February 28 and voiced on March 2, but
the report is run for February only, the check is listed as voided. The check amount is
still subtracted from the bank balance for February. The March report will show the
check amount added back in to the bank balance. This allows you to print a check
register with a true "as of" balance for each period.
- Print CR Entries?
- Select Y to include Check Reconciliation transactions.
These are transactions with CR in the Source field in CR Check Center
Entry.
Note: Each selection you choose increases the length of your report.
The combination of options that you choose could create a confusing report. We
recommend you reprint the report, selecting different transaction types each time,
depending upon the information you want to review.
- Print AP Entries?
- Select Y to include Vendor Invoice Center
Entry transactions with AP in the Source field in CR Check Center
Entry.
- Print AR Entries?
- Select Y to include Customer cash receipt transactions
with AR in the Source
field in CR Check Center Entry.
- Print OE Entries?
- Select Y to include Sales Order
Entry-Tendering transactions with OE in the
Source field in CR Check Center
Entry, as well as those created in Sales Order
Entry.
- Print GL Entries?
- Select Y to include
General Ledger transactions with GL in the
Source field in CR Check Center Entry or CR Reconciliation Center
Entry, as well as those created in GL Transaction
Entry.
- Print PR Entries?
- The Payroll module is no longer supported. Disregard this
field.
- Print Checks? (1)
- Select Y to include checks, or Transaction type 1
entries.
- Print Charges? (2)
- Select Y to include charges, or Transaction type 2
entries.
- Print Adjustments? (3)
- Select Y to include adjustments, or Transaction type 3
entries.
- Print Deposits? (4)
- Select Y to include deposits, or Transaction type 4
entries.
- Print Interest Postings? (5)
- Select Y to include interest charges, or Transaction
type 5 entries.
- Print Voids? (6)
- Select Y to include voided transactions, or
Transaction type 6 entries. To print voided transaction, you must also specify
Y for the Print Voids (Y)es,
(N)o, or (O)nly option. This causes both voided checks (Type 1) and voided
transactions (Type 6) to print on the report. Setting these options in different ways
produces different results. This table describes the results of different
settings:
Print Voids (Y)es, (N)o, or (O)nly option |
Print Voids? (6) option |
Result |
Yes |
Yes |
Voided checks (Type 1) and voided transactions (Type 6) are printed
within selected date range. |
Yes |
No |
Voided checks (Type 1) only are printed. |
No |
Yes |
Neither transaction types are printed. |
No |
No |
Neither transaction types are printed. |
- Print Incoming Transfers? (7)
- Select Y to include incoming transfers, or Transaction
type 7 entries. Incoming transfers are funds that were transferred from another
CR Bank Setup record.
- Print Outgoing Transfers? (8)
- Select Y to include outgoing transfers, or Transaction
type 8 entries. Outgoing transfers are created automatically when you enter an incoming
transfer, Type 7, in CR Check Center Entry.
- Print Manual Checks Only?
- Select Y to print any manual checks that were entered
in Vendor Invoice Center Entry. An M is printed next to the check
number on the report to note the check was manually entered.