Bank Related Transaction Code
Bank Related Transaction Code
Based on a given Check number, we can find through this session details of :
Based on a given payment document number, we can find through this session details of :
This session is used to void unused Checks in the system. This can be used to prevent users
from selecting the unused Check lots before payments.
This session is used to assign Check number from the system to a manually issued Check. This
will record the Check number for the payment document posted directly for a handwritten
Check.
This is used, for copying the Check numbers to assignment, or reference field of the payment
document.
This session copies check numbers into a selected field of the corresponding payment
documents. For example, the check number can be copied into the “Assignment” field of the
payment document thus enabling the check to be assigned to the payment document.
This check numbers indicated in this session will overwrite those check numbers already
copied into the corresponding payment documents.
This report program outputs a log of payment documents into which the appropriate check
numbers could be copied into the selected field.
This session can be used to re-print a fresh Check by voiding the earlier Check (damaged at
the time of printing). No accounting entry is passed only the Check number record is changed.
This session is used for auto generated Checks through F-58, FBZ5 & F110
This session can be used to cancel the payments made on any Check by providing the Check
number. This reverses the payment entry and re-instates the vendor open line item.
Through this session we can create Check series numbers or Check Lots per house bank and
house bank ID combination.
We can always maintain multiple Check lots, identified by a Check lot serial number.