Real-Time Reconciled Checks/Disbursements Report

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Real-Time Reconciled Checks/Disbursements Report

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The Real-Time Reconciled Checks/Disbursements Report function allows you to print or preview information on all checks and other disbursement transactions (future-dated or otherwise) that have cleared the bank regardless of the date the report is generated. These checks and other disbursement transactions must have been marked as "reconciled" in AccountMate Enterprise.

 

This report has the following uses:

 

To verify and review those checks and disbursement transactions that have the "reconciled" status.

To use as reference to facilitate reconciling cleared checks as specified in bank statements against book balances.

 

 

To generate the Real-Time Reconciled Checks/Disbursements Report, follow these steps:

 

1.Access the Real-Time Reconciled Checks/Disbursements Report function from the Reconciliation group in the Reports main menu.

 

2.Click the List box button next to the Configuration field; then, select the report configuration that you want to use.

 

3.Select the report sorting option by clicking on the List box button next to the Sort By field.

 

4.In the Layout field, click the List box button to select the report layout you want to use in generating the report.

 

To show multi-currencies in the report, select the option with 'multi-currency' in the layout name. Note that this layout option is only available if the multi-currency feature is activated.

 

5.In the Report Configuration area, define the preferred report filters.

 

6.Select any of the following options for which you want to generate the report:

 

All Payment Types

Printed Checks Only

Handwritten Checks Only

Electronic Payments Only

Credit Card Payments Only

Non-Check Payments Only

 

7.Click the Preview or Print button to preview or print the report. In the Report Preview Page, you may click the Configure tab to return to the Report Configuration Page.

 

 

The Real-Time Reconciled Checks/Disbursements Report function also provides you with flexibility to perform the following:

 

Set up user-defined sort option

Set up user-defined report layout

Include notes in the printed report

Export the report to various supported file formats

Send the report as attachment to an email

Drill-down on certain fields in the report:

oBank #

AccountMate displays the Bank Profile when you click the Bank # in the report.

 

oVendor #

AccountMate displays the Vendor Profile when you click the Vendor # in the report.

 

 

 

See Also

Reconciliation Reports

 

 

 

 

 

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