14.13.1
PRINT/CLEAR CHECKS
14.13.1 Overview
This module will allow you to print, reprint, clear and unclear checks. pc/MRP Versions 6.63C and higher added the option to print a remittance report.
Versions 6.62 and lower - Selecting Print/Clear Checks in pc/MRP will display the following options:
The Print Checks option will allow you to print/reprint checks by selecting transactions from a scrollable window that displays all accounting transactions. The scrollable window lists the transaction number, account #, transaction type, check printed (Y/N), and description. Select E (accounts payable expense), P (cash purchase), and A type transactions you wish to print the check(s) for by clicking on the transaction number and then pressing the enter key or click on the upper left button and select "Next Window". The "Print Checks" option in version 6.62 can print out one check for up to 5 invoices from the same vendor. Use the "Pay Bill" option in accounts payable for check runs longer than 5 checks (this option will not combine multiple invoices into one check).
The Pay Bills option, found in the Accounts Payable module in versions 6.62
and lower, will allow you to select receivers to be paid from a scrollable window displaying all open receivers.
This option allows users to select and pay bills (open receivers and accts payable
vouchers in the receiver dbf file who's complete fields do not contain a "Y").
The accounts payable default screen shown below will allow you to set the range of open
receivers and accounts payable vouchers to select from.
pc/MRP will then look for a file named lastclos.mem which contains the month and year that pc/MRP was last closed. If pc/MRP can not find this file or if the last close did not occur in the current year, pc/MRP will ask you to enter the balance in the checking account manually. If pc/MRP does find a good current close, it will use the ending balance of last month it was closed and calculate the current balance of the checking account using the checking transactions from the current month found in the accounting transaction file.
Next, click on the on the Select button and the next screen shown below will allow you to select bills to be paid (put a "Y" in the PAY field for each bill to be paid). When you have finished selecting bills to be paid, click on the accept button. pc/MRP will then debit the checking account and credit the accounts payable account and offer to print out a check for each bill you selected to be paid off.
The scrollable window lists the pay, account number, receiver number, po number, vendor invoice number, date due, amount due, and posted fields. Enter a "Y" into all the Pay field of all receivers you wish to pay. pc/MRP will then enter an "E" type transaction and print a check for every receiver you selected.
The Clear Checks option will allow you to clear/unclear checks by selecting transactions from a scrollable window that displays all transactions that have either debited or credited the checking account. The scrollable window lists the transaction number, the check number, the cleared field, the transaction date and the description. To clear a check enter a "Y" into the cleared column for that transaction number. To unclear a check remove the "Y".
Version's 6.63 and higher - Selecting Print/Clear Checks in pc/MRP will display the following options:
The Pay Bills option will allow you to select receivers to be paid from a scrollable window displaying all open receivers.
This option allows users to select and pay bills (open receivers and accts payable
vouchers in the receiver dbf file who's complete fields do not contain a "Y").
The accounts payable default screen shown below will allow you to set the range of open
receivers and accounts payable vouchers to select from.
pc/MRP will then look for a file named lastclos.mem which contains the month and year that pc/MRP was last closed. If pc/MRP can not find this file or if the last close did not occur in the current year, pc/MRP will allow you to enter the balance in the checking account manually. If pc/MRP does find a good current close, it will use the ending balance of last month it was closed and calculate the current balance of the checking account using the checking transactions from the current month found in the accounting transaction file.
The scrollable window lists the account number, receiver number, po number, vendor invoice number, date due, and amount due fields. Click on all receivers you wish to pay and print a check for. Once you have completed your collections, click on the ok button. pc/MRP will process the transactions by vendor. It will enter an E type transaction for each vendor's receivers. When it processes that vendor's final receiver, it will ask to print a check for that vendor. After the check has been printed, it will begin entering E type transactions for the next vendor. When all of the E type transactions have been entered for the second vendor, pc/MRP will ask to print out a check for the second vendor. This process will continue until all of the receivers have been processed and all of the checks have been printed.
The Print Unprinted Checks option will allow you to print checks for accounting transactions that have been entered, but no check was ever printed. pc/MRP will give you the option of select "Pick from all open accounting transactions" or "Build your own list" of accounting transactions to print checks for. If you have a small transaction.dbf file and know the receiver numbers it is faster to use the "Pick" option. If you have a large transaction.dbf file and know the transaction numbers it is faster to use the "Build" option. The "Pick" option will allow you to select from any transaction that has credited the checking account and whose check printed and cleared fields do not contain a "Y". The "Build" option will allow you to enter any transaction number, be careful to select only E (accounts payable expense) or P (cash purchase) type transactions. Both options will consolidate multiple transactions from the same vendor and automatically print out a single check for each vendor.
The Print Old Checks option will allow you to reprint checks for accounting transactions that have already have already had a check printed out. Simply enter the check number you wish to be reprinted.
The Clear Checks option will allow you to clear checks by the following methods:
(1) Picking from an uncleared transaction list. This option allows you to scroll and pick from all
uncleared transactions (transactions whose cleared field does not equal "Y" and debits or credits the
checking chart of account number). You must click on the lower left button to select debits or credits type transactions. If the
transaction database file is large you must allow quite a bit of time for it to set the filter to display only transactions that debit or credit the checking account.
(2) Manually enter transaction numbers containing checks you want to clear
(3) Clear all transactions for a date range
(4) Clear all transactions for a transaction number range
The Unclear Checks option will allow you to clear a check for a specified transaction number.
The Print Remittance Report option will allow you to print a check remittance report for:
(1) A specified transaction number.
(2) A check number range
(3) A date range
(4) All checks for a checking account number
(5) For the last check run
14.13.2 Ordering Laser Checks
pc/MRP's check writing module allows the option of printing either dot matrix checks or laser checks. We do not recommend using the Windows version of pc/MRP to print out Dot Matrix checks
The check writing module can be preset in the Configuration Menu to use or not use pre-printed check numbers.
Laser checks with your company's pre-printed address can be ordered through Rapid Forms (1-800-257-8354). When ordering checks specify:
(1) Company Address be pre-printed
(2) Either pre-numbered checks or blank check numbers
(3) Check Number 5k-2684
14.13.3 Ordering Check Envelopes
14.13.4 Selecting a Printer for Checks