Contents of the Manage Check History Screen

Use the fields and options to configure the Manage Check History screen.

Contents

Field Description
Check Number

Enter the number of the check for which you are creating a record. If a check number for the cash account/organization combination that you specify on the screen already exists in this table, Costpoint displays a warning when you attempt to save the record.

Cash Account

Enter, or click to select, a valid cash account.

Organization

Enter, or click to select, a valid organization.

Vendor/Bank Information

Use the fields in this block to specify information about your vendor and bank.

Field Description
Fiscal Year

Enter, or click to select, the fiscal year to which the check was posted in your legacy software system.

Period

Enter, or click to select, the period to which the check was posted in your legacy software system.

Sub Period

Enter, or click to select, the subperiod to which the check was posted in your legacy software system.

Seq No

The sequence number is non-editable for records that are manually entered.

Payment User

Costpoint displays the identifier of the person entering the record.

Pay Vendor

Enter, or click to select, a valid pay vendor identifier. After you enter the pay vendor ID, Costpoint displays the pay vendor name and location in the adjacent fields.

Joint Payee

Use this field to add a joint payee to the check record.

Ref 1

Enter, or click to select, reference number one.

Ref 2

Enter, or click to select, reference number two.

Approval

Field Description
User and Date

Costpoint displays the user identifier and the date on which the check was approved. These fields are non-editable. They are blank for manually entered records.

Bank Info

Field Description
Bank Abbr

Enter, or click to select, a bank abbreviation. This code abbreviates a bank account, rather than a bank name. The bank abbreviation should be meaningful for the bank account from which the check was written. Costpoint performs a validation to make sure that the bank abbreviation and cash account/cash organization entered on the screen exist together on the Manage Cash Accounts screen. The bank abbreviation is then recorded in the Vendor Check table after you save the settings for this screen.

Address

Enter, or click to select, an address code. The address code identifies the address to which the check was issued. Vendors can have multiple addresses for multiple billing sites; you can use address codes to set up one vendor with multiple addresses.

Check

Field Description
Amt

Enter the amount of the check.

Date

Enter, or click to select, the date of the check.

Pay Curr

Enter, or click to select, a pay currency.

Check Info

This group box contains options for each of the status settings available for the check.

  • Outstanding: Select this option i f the check has not cleared the bank.
  • Cleared: Select this option if the check cleared the bank.
  • Void: Select this option if the check was voided. In the Void group box, enter the Amt and the Date on which the check was voided.
  • Stop Pmt: Select this option if you placed a stop payment order on the check. In the Void group box, enter the Amt and the Date on which the stop payment was made.

Void

Field Description
Amt

Enter the amount of the check that you want to void.

Date

Enter the date of the check that you want to void.

Table Window

Use this table to enter all the vouchers that the check paid. The vouchers must be initialized before the table can be filled in. Fill in as many rows as vouchers were paid on the check.

Field Description
Voucher Vendor

Enter, or click to select, a valid vendor identifier. Costpoint defaults the pay vendor ID into this field. If the check was cut to a third party such as a credit card company or bank, change this entry accordingly.

Voucher Number

Enter the voucher number assigned to the invoice. The voucher number must exist on the Manage Vendor History screen before you can use it in this table.

Vouchers entered (not system-assigned) on the Manage Vendor History screen are marked as Manual. This allows the Manage Check History screen to restrict payment to only those vouchers that are marked as Manual. The lookup on the voucher number only shows manual vouchers.

FY Posted

Enter the fiscal year the voucher was posted.

Pd Posted

Enter the period the voucher was posted.

Subpd Posted

Enter the subperiod the voucher was posted.

Seq No

Enter the sequence number in which the voucher was posted. You should leave this field blank for vouchers that were manually inserted on the Manage Vendor History screen.

Invoice Number

Enter the invoice number assigned to the voucher.

Invoice Date

Enter the date of the invoice assigned to the voucher.

Trans Curr

Enter, or click to select, the transaction currency.

Invoice Amt

Enter the invoice total.

Discount Date

Enter the discount date. This date must be the same as the invoice date or later.

Discount Amt

Enter the discount amount that was available to be taken on the voucher.

Due Date

Enter the date on which the voucher was due to be paid.

Due Amt

Costpoint calculates this non-editable field by subtracting the discount amount from the invoice amount.

Antic Pay Dt

This field displays the anticipated pay date in Costpoint when checks were printed.

Amount Paid

This field displays the amount of the check that pertained to this individual voucher. The sum of this column should total the check amount in the header.

Discount Taken

Enter the amount of discount that was taken for this invoice when the check was cut. This amount would not have been included in the check amount but will reduce the outstanding balance of the voucher.

Pay Curr

Enter, or click to select, the pay currency.

Pay Curr Amt Paid

Enter the pay currency amount paid.

Pay Curr Disc Taken

Enter the pay currency discount taken.

Func Curr Amt Paid

Enter the functional currency amount paid.

Func Curr Disc Taken

Enter the functional currency discount taken.

Subtask

Subtask Description
Exchange Rates Click this link to open the Exchange Rates subtask.