This chapter contains these topics:
Section 40.3, "Changing Payment Reconciliation Status Manually"
Section 40.5, "Reviewing the Payroll Bank Reconciliation Register"
You reconcile payments to make your information consistent with your bank records. You can reconcile your payment history manually or automatically.
You can copy or add a new version of the Reconcile Cheque History (P065613) program, and select in the first processing option whether to reconcile computer-generated, manually generated, auto deposits, or all three types of paycheques.
You review the status of payments to determine whether you need to reconcile outstanding payments, re-open an item previously marked as reconciled, or mark a cheque as unclaimed. If you need to change the status of a payment, you can do so manually.
After payments have been reconciled, you can review the Payroll Bank Reconciliation Register. The register is primarily used to identify outstanding payments. You can automatically reconcile any outstanding payments.
From Canadian Payroll Master (G77), choose Paycheque Reconciliation
From Paycheque Reconciliation (G7722), choose Cheque Reconciliation
You review the status of payments to determine whether you need to reconcile outstanding payments, re-open an item previously marked as reconciled, or mark a cheque as unclaimed. The system displays payments by number and date. Additional information includes net pay figures as well as the name and employee number of the employee to whom the payment was issued.
To review payment reconciliation status
Complete the following field:
G/L Bank Account
To limit your search, complete the following optional fields:
Reconciled Cheques
Cheque Dates
Skip to Cheque Number
Field | Explanation |
---|---|
G/L Bank Account : | A field that identifies an account in the general ledger. You can use one of the following formats for account numbers:
The first character of the account indicates the format of the account number. You define the account format in the General Accounting Constants program. Form-specific information The short ID number of the bank account for which you want to see outstanding cheques. |
Reconciled Checks | A value that lets you limit your inquiry. Values are:
Blank – All checks R – Reconciled checks only C – Unclaimed checks only U – Unreconciled checks only |
From Canadian Payroll Master (G77), choose Paycheque Reconciliation
From Paycheque Reconciliation (G7722), choose Cheque Reconciliation
During your review of the payment reconciliation status you might determine that you need to make status changes. You can manually change the status.
To change payment reconciliation status manually
On Cheque Reconciliation
Locate the payments that require a change in status.
Complete the following fields:
Option
Cleared Date
If a payment requires a reconciliation date other than the date it cleared, complete the following field:
Reconciliation Clearing
From Canadian Payroll Master (G77), choose Paycheque Reconciliation
From Paycheque Reconciliation (G7722), choose Cheque History
You can automatically reconcile your outstanding payments. When you reconcile payment history automatically, the system reads the tape you receive from the bank and compares it to the payment history. The system then reconciles matching entries and generates a report which you can use to verify that the information is correct.
When you reconcile payment history automatically, the system creates a report based on the information in the Bank Reconciliation - Paid table (F06561). Review the Cheque Reconciliation - Update History report to verify that the information is correct.
The report lists the following information:
Employee names and numbers
Net pay figures per cheque
Reconciliation indicator
From Canadian Payroll Master (G77), choose Paycheque Reconciliation
From Paycheque Reconciliation (G7722), choose Reconciliation Register
After you reconcile payments, you can review the Payroll Bank Reconciliation Register to identify any outstanding payments. You can run this report at any time. It lists the following information:
Cheque numbers and dates
Net pay figures per cheque
Totals by cheque date
The information in this report is based on the Paycheque Summary table (F06156).