Generate Check Payments
Use the Generate Check Payments task to generate checks for all your employees and third parties who have a check payment method and a net payment greater than zero.
Use the delivered flow either as an:
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Individual flow to generate check payments after the payroll calculations and payment distribution tasks are complete, or
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Within a flow pattern to run automatically after the calculate payroll and payment distribution tasks are complete. For example, the Generate Check Payments task is included in the Expedited Payroll Processing flow pattern. The flow runs automatically after the Archive Periodic Payroll Results task archives the expedited payroll results for further processing.
Use the Manage Payroll Flow Patterns task to search for and view the details of the Generate Check Payments flow.
Use the Submit a Payroll Flow task to submit the Generate Check Payments flow.
You can also use the Refine Extracts task to access this flow.
The Generate Check Payments task is generally run after the Calculate Payroll, Calculate Prepayments, and Archive Periodic Payroll Results tasks are complete. After the payroll calculations are complete, run the Calculate Prepayments process to distribute the net payments based on the employee’s personal payment method. The Archive Periodic Payroll Results task archives the payroll results for further processing. The Generate Check Payments task generates checks for the archived payroll results that have a payment type of Check.
Flow Tasks and Task Sequence
You can copy and edit the flow to include additional tasks. For example, you can include a Verify Payments task to verify the generated check payments, or a Void Payments task to void payments made wrongly.
Use the Task Sequence tab to view the sequence of the tasks within the flow. You can review the task sequence and reorder, add or delete tasks, as required.
Flow Parameters
Flow parameters supply the information you require to run the flow and successfully complete the tasks within the flow pattern.
Before you submit the Generate Check Payments flow, review and edit the flow parameters to ensure that the correct values are used to generate the checks according to the requirements.
Here’s the details of parameters you can define for the Generate Check Payments flow.
Parameter |
Description |
Parameter Basis |
Basis Value |
Usage |
Display Format |
---|---|---|---|---|---|
Consolidation Group |
Defines a grouping of different payrolls for reporting purposes. If you don't select a value, the application uses the default consolidation group assigned to the payroll. |
Bind to Flow |
Consolidation Group |
Input Parameter |
Smart lists of values |
End Check Number |
The last check number for processing. |
Bind to Flow |
End Check Number |
Input Parameter |
Number |
Organization Payment Method |
Determines the payment source for this flow. Select a value that has a payment type of Check. |
Bind to Flow |
Organization Payment Method |
Input Parameter |
Smart lists of values |
Overriding Payment Date |
Determines the payment due date for the checks. |
Bind to Flow |
Overriding Payment Date |
Input Parameter |
Date |
Payment Source |
Determines the payer bank account info so that the correct check template is used to generate the check payments. |
Bind to Flow |
Payment Source |
Input Parameter |
Smart list of values |
Payment Type |
Mode of payment associated with the Organization Payment Method and Payment Source values you select. |
Post SQL Bind |
Input Parameter |
An SQL statement is used to derive the value. The value isn’t displayed on the page. |
|
Payroll |
Name of the payroll run for which the checks are generated. |
Bind to Flow |
Payroll |
Input Parameter |
Smart list of values |
Payroll Process |
Action ID that’s generated when you submit the Generate Check Payments flow. |
Context Binding |
Action ID. Derives the value of the parameter from the context of the current flow instance. |
Output Parameter |
|
Process Configuration Group |
Defines the rules for payroll processes, such as passwords or number of threads. If you don't select a value, the application uses the default consolidation group assigned to the payroll. |
Bind to Flow |
Process Configuration Group |
Input Parameter |
Smart list of values |
Process Start Date |
All Payroll or QuickPay runs with an effective date greater than this date are considered for this flow instance. |
Bind to Flow |
Process Start Date |
Input Parameter |
Date |
Process End Date |
Last effective date of the payroll processes. The process considers all Payroll or QuickPay runs with an effective date before this date. |
Bind to Flow |
Process End Date |
Input Parameter |
Date |
Request |
Request ID of the current flow instance. |
Context Binding |
Derives the value of the parameter from the context of the current flow instance. |
Input Parameter |
|
Sort Procedure |
Constant Bind |
Default |
|||
Start Check Number |
Bind to Flow |
Start Check Number |
Input Parameter |
Number |
Additional Flow Details
Before you submit the Generate Check Payments flow, define the following.
Field label |
Description |
---|---|
Task Owner |
Assign an owner for the task on Edit Task Details: Owner and Checklist. The owner can initiate the task, monitor the status, roll back or retry the task, and also review errors and messages the task generates. |
Duration |
Enter a due date and offset value in Duration on Edit Task Details: Duration and Notifications. |
Notifications |
Select a Flow Task Start Notification option in the notification region of Edit Task Details: Duration and Notifications. You can select a notification to:
The receipt of notifications depends on the duration dates and their offsets. |