About Batch Processing in Accounts Payable
About Printing Posting Journals and the G/L Transactions Report
After you have entered all transactions in a batch, you should print the batch listing and compare it to your source documents to be sure all transactions were entered correctly.
If you find mistakes, edit the batch to correct the errors, then reprint and check the batch listing before posting the batch.
To make sure listings are printed for each batch before you post it, select the Force Listing Of All Batches option on the A/P Options screen. The option also prevents you from posting batches you edited but did not relist.
To print a listing for a batch you are working on, click the Print button on the batch entry screen.
To print listings for a range of batches, see the A/P Batch Listing Report screen.
File the reports as part of your audit trail.