AM11 Sample Reports


Payroll - Check Reports

The Check Reports provide information on all check transactions recorded using the Print Payroll Check, Post Handwritten Check, Post After-the-Fact Payroll, and Payroll Tax Deposit functions. These reports are helpful in facilitating bank reconciliation.

Each of the Check Reports is especially designed to provide several options so you can narrow down data to the specific information needed. Read the information below to get a closer look at each of the Check Reports available in AccountMate.

Payroll Check Register Report

The Payroll Check Register Report provides information on checks issued to employees and independent contractors and generated/recorded using the Print Payroll Check, Post Handwritten Check, and Post After-the-Fact Payroll functions. This report excludes the tax deposit checks. This report is a good way to reconcile the check details against the Payroll Check Summary Report and to verify the pay checks before you distribute them. You can also use this report as reference for reviewing details of released checks and reconciling bank accounts.

You can generate this report for computer-printed checks only, handwritten checks only, or both. You can configure the report to exclude employee earning and deduction details. You can also opt to view the check register on a separate page for each department.

Click image to enlarge/reduce view

Payroll Check Summary Report

If you need to view summary information on payroll checks, generate the Payroll Check Summary Report. This report serves as a quick reference for all checks issued during a period. You can use this report as basis in verifying the check details in the Check Register Report.

You can generate this report for computer-printed checks only, handwritten checks only, or both. You have an option to include both the electronic payments and check amounts for each applicable payroll check. You may also opt to include or exclude voided checks in the report.

Click image to enlarge/reduce view

State and Local Tax Summary Report

The State and Local Tax Summary Report provides summary information about the state and local withholding tax amounts of a particular tax state for a specific or range of check dates. This report can be used as reference when processing state and local tax deposits and when generating state tax forms.

Click image to enlarge/reduce view

Electronic Payment Report

Electronic funds transfer provides a safer, secure, efficient, and less-expensive-than-paper method of payment to employees and independent contractors. AccountMate supports the processing of payroll electronic payments through an online payment system.

To obtain detailed information on the amounts paid by check and paid by direct deposit through either NPC (National Payment Corporation) or ACH (Automated Clearing House), generate the Electronic Payment Report. This report is most useful in tracking the employee deduction amounts and employer contributions as basis for generating the remittance invoice and check from the Accounts Payable module. You can also use this report as reference for reconciling bank accounts and book balances. You have an option to include in the report voided electronic payment transactions and electronic payment distribution details.

Click image to enlarge/reduce view

Tax Deposit Check Report

Detailed information about federal 940, federal 941, state, and local tax deposit checks is available in the Tax Deposit Check Report. This report excludes the payroll checks issued to employees and independent contractors. You can use this report as reference during bank account reconciliation. You may also refer to this report to determine which tax deposit checks are voided so you can notify the IRS (Internal Revenue Service) to disregard such checks.

You can choose to generate the report for computer-printed tax deposit checks only, handwritten tax deposit checks only, or both. You can further select to include information on the 940 federal tax deposit checks only, 941 federal tax deposit checks only, state tax deposit checks only, local tax deposit checks only, or all tax deposit checks. The report also provides the flexibility to include or exclude the voided tax deposit checks.

Click image to enlarge/reduce view

Voided Check Report

The Voided Check Report provides information on both payroll and tax deposit checks voided using the Void Payroll Check and Void Tax Deposit Check functions. Use this report alongside the Check Register Report to assess the completeness of the checks recorded in AccountMate and to determine which checks are reprinted. You can also verify whether the checks listed in this report match the actual voided checks in your possession. When reconciling bank accounts and book balances, you can use this report as reference.

When generating this report, you can select to include the voided computer-printed checks only, voided handwritten checks only, or both. You can also opt to include in the report checks that were reissued or replaced using the Reprint Payroll Check function.

Click image to enlarge/reduce view

Outstanding Check Report

The Outstanding Check Report provides information on outstanding payroll and tax deposit checks. Outstanding checks are those that have not yet cleared from the bank and are not yet recorded as "cancelled" in AccountMate. The Outstanding Check Report is helpful in reviewing the status of payroll and tax deposit checks. You can also use this report to facilitate bank reconciliation.

You can select to include in this report the outstanding, computer-printed payroll checks only; outstanding, computer-printed tax deposit checks only; outstanding, handwritten payroll checks only; outstanding, handwritten tax deposit checks only, or all outstanding payroll and tax deposit checks. This report also provides flexibility to include electronic payment transactions in the report.

Click image to enlarge/reduce view

Cancelled Check Report

Generate the Cancelled Check Report if you need information on checks that are cleared by the bank and recorded as "cancelled" in either the Record Cancelled Check function in the Payroll module or the Reconcile Bank Account function in the Bank Reconciliation module. Similar to the Outstanding Check Report and Voided Check Report, this report is especially helpful in reviewing the checks' status and facilitating bank reconciliation.

You can select to include in this report the cancelled, computer-printed payroll checks only; cancelled, computer-printed tax deposit checks only; cancelled, handwritten payroll checks only; cancelled, handwritten tax deposit checks only; or all cancelled payroll and tax deposit checks.

Click image to enlarge/reduce view

FaceBook LinkedIn Twitter YouTube