Open topic with navigation
        
        
        Online Check Reconciliation Details
        
        
             Overview
Overview
        
        Your third-party administrator sends the ACH 
 files according to the agreement with your organization.
        
             
        
        Check Reconciliation Filtering Options
        Check Reconciliation's Filtering Options
        
            - Employer 
 ACH.  To 
 view check reconciliation information; begin by selecting the account 
 from the Employer ACH drop down 
 selection list.
- Checks. 
  Option 
 to only display check payment forms on the reconciliation.
- ACH. 
  Option 
 to only display direct deposits on the reconciliation. All ACHs and direct 
 deposits for the payroll automatically are shown as cleared. 
- Both. 
  Option 
 to display all reconciliation information for both standard check forms 
 and direct deposits. 
- Show 
 Outstanding Only checkbox.  If 
 you would only like to display outstanding checks, mark the Show 
 Outstanding Only checkbox. 
- Filter 
 by Check Date checkbox.  Mark 
 the Filter by Check Date checkbox 
 to display the checks in chronological order according the check date. 
 
- Start 
 Date. If 
 you enter a Start Date, only checks 
 that are dated on or after the start date will display. 
- End 
 Date. If 
 you enter an End Date, only checks 
 that are dated before or on the end date will display. 
- Filter 
 By Check Number checkbox.  Click 
 on the Filter by Check Number 
 checkbox to display the checks numerically by the check number.
- Start 
 Number.  Enter 
 a start 
 check number to limit the displayed checks to those with this check 
 number or greater.
- End 
 Number.  Enter 
 an end check number to limit 
 the displayed checks with a check number less than this number or equal 
 to this number.
- Get 
 Checks button.  After 
 you have completed defining the filters, click on the Get 
 Checks button to display the check reconciliation information.
Check Reconciliation's Checks
        The check reconciliation information displays 
 each check's check number, amount, date, and type. 
        
            - Yes.  Checks 
 that have been voided will have the word "Yes" 
 in their Void column.See the Payment Voids 
 topic for more information about voided checks.
- Cleared. 
  Checks 
 that have been recorded as cleared have a checkmark in the Cleared 
 column. With your organization's bank statement, you can use this screen 
 to track checks until they have cleared. A check has "cleared" 
 when its payment has been deducted from the payment account. To indicate 
 that a check has cleared, click on the Cleared 
 checkbox for the check, and then click on the Apply 
 button.
- Apply. 
  To change 
 the status of a payment from cleared to outstanding, click on the item's 
 Cleared checkbox to de-select 
 the item, and then click Apply. 
 The Apply button acts like a "save" 
 to update information. When you apply a change, the system displays a 
 confirmation dialog box.
- Options 
 button.  Click 
 on the Options button to return 
 to the Check Reconciliation's Filtering Options. Only the first 200 checks 
 display on the Check Reconciliation. To reduce the size of your results, 
 change your filter criteria.
             
        
        Check Reconciliation Filtering Options