Entry Info Tab
Use this tab of the Manage Manual Checks screen to enter payment information.
Identification
| Field | Description |
|---|---|
| Pay Vendor |
Use Query to select the pay vendor to which the manual check was issued. The pay vendor name and location assigned to the pay vendor display in the adjacent fields. |
| Cash Acct Desc |
Enter, or click
|
| Joint Payee |
Enter a joint check payee if you are recording checks that were printed outside Costpoint. You must enter the word "and" before the joint payee name. |
| Check |
Enter the number of the manual check to be recorded. |
| Date |
Enter, or click
|
| Amount |
Enter the total amount of the check. This field must be equal to the total of the Pay Currency Vchr Check Amt column in the Selected Vouchers table window before the check information can be saved. |
| Remaining Balance |
This field displays the remaining difference between the amount of the manual check and the total of Trans Currency Amount to Pay column in the Selected Vouchers table. |
Period to Post
Use the fields in this group box to determine the accounting period to which the manual check will be posted. Ordinarily, the date of the check determines the period to which the check is posted.
| Field | Description |
|---|---|
| Fiscal Year |
Enter, or click
|
| Period |
Enter, or click
|
| End Date |
The end date displays automatically. |
to select, the cash account description assigned to the cash account/organization from which the check was written. This must be a valid cash account description from the Manage Cash Accounts screen.
to select, the date of the manual check to be recorded.