Issue, Print, Cancel, and Void Checks| Microsoft Docs

You can issue electronic and manual checks in Business Central . Both methods use the payment journal to issue checks to vendors. You can also void checks and view check ledger entries.

The following procedure shows how to pay a vendor with a computer checks by applying the payment to the relevant vendor invoice, printing the check, and then posting the payment as paid. This results in positive vendor ledger entries, applied to negative bank ledger entries, and physical checks for processing in the bank.

You can pay with two types of checks. For both types, the Bal. Account Type or the Account Type field must contain Bank Account.

NOTE

To make sure that your bank only clears validated checks and amounts, you can send them a file that contains vendor, check, and payment information. For more information, see Export a Positive Pay file.

Your printer must be correctly set up with the check forms, and you must define which check layout to use. For more information, see Define Check Layouts

You can print up to 10 invoices on a page for a check stub. If a check applies to more than 10 invoices, when you print the stub we void the check on the first page and print the word VOID on the check. We then print the remainder of the invoices and the total check amount on the second page.

To pay a vendor invoice with a computer check

The following describes how to pay a vendor by check. The steps are similar to refund a customer by check.

  1. Choose the Lightbulb that opens the Tell Me feature icon, enter Payment Journals, and then choose the related link.
  2. Fill in the payment journal lines. For more information, see Record Payments and Refunds.
  3. In the Payment Method Code field, select Check.
  4. In the Bank Payment Type field, select Computer Check.
  5. Choose the Print Check action.
  6. On the Check page, fill in the fields as necessary. Hover over a field to read a short description.
  7. Choose the Send to button, select the PDF Document option, and then choose the OK button.

    The physical checks can now be brought to the bank for processing. Proceed to post the payment as applied to the vendor and thereby paid in the system.

  8. Choose the Post action.

Fully applied vendor ledger entries and bank ledger entries are created.

NOTE

If you want to print and pay checks in more than one currency from different bank accounts, you must run the Print Check batch job separately for each currency and specify the appropriate bank account.

To cancel printed checks that are not posted

You can cancel non-posted checks after they have been printed by using the Void Check action on the Payment Journal page.

  1. On the Payment Journal page, choose the Void Check, and then choose which checks to cancel.

To void checks

When check payment have been posted, you can only cancel (void) checks from the resulting bank ledger entries.

  1. Choose the Lightbulb that opens the Tell Me feature icon, enter Bank Accounts, and then choose the related link.
  2. Select the relevant bank account, choose the Edit action, and then choose the Check Ledger Entries action.
  3. On the Check Ledger Entries page, choose the Void Check action.
  4. Select the Void Check Only check box.
  5. Choose the OK button.

To view a summary of posted checks

If you want to review posted checks, for example to verify multiple checks paid to one vendor, you can use the Bank Account - Check Details report.

  1. Choose the Lightbulb that opens the Tell Me feature icon, enter Bank Account - Check Details, and then choose the related link.
  2. Set filters as relevant, and then choose the Preview button.

See Also

Making Payments
Managing Payables
Setting Up Banking
Export a Positive Pay file
Working with Business Central



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