Payment Reconciliation Report
The Payment Reconciliation report lists all electronic payments which occurred during a selected date range. Use this report to tie out TPM transactions with your bank account. Filter based on the date the payment was disbursed from TPM, the settlement date of the transaction at your bank, the date the file was uploaded to your bank, or the date the payment was exported to your accounting system.
The following users can access this report:
- All Enterprise Administrators
- All Local Administrators
- Regular Users assigned to a project.
Report Output
- Segment ID
- Funding Organization
- Funding Account
- Project Number
- Project Name
- Draw #
- Draw Name
- Organization Name
- Vendor ID
- Contract Number
- Invoice #'s
- Payment Type
- Progress Billing This Period
- Retention Released This Period
- Payment Amount
- Check Number
- Disbursement Date
- Payment Export Date
- Bank Upload Date
- Settlement Date
Last Published Thursday, April 10, 2025