The Create Payment Batch screen provides a Pre-Check Register that lets you preview the payment transactions that will be created using the current selection criteria when you generate a payment batch.
Important! You should always print a Pre-Check Register, so you do not get unexpected results when you generate the batch.
The Check Register report lists details of checks that are produced and posted to vendor accounts during a check run. It can also list a summary of the general ledger distributions that result.
Checks that are used for alignment or leading, as well as checks that are voided before posting, are not included on this report because they do not result in the creation of general ledger distributions or changes to vendor account balances. These checks are listed on the Check Status report in Bank Services.
For more information on the contents of this report, see A/P Check Register Screen.
Print the report after posting a check run, as part of your audit trail of payments made during the check run.
To print a check register:
Accounts Payable > A/P Transaction Reports > Check Register.
Click Print.
File the report with the rest of your audit trail reports.