Positive Pay Reports and Reconciliation Guide. Transaction Reports

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Transcription:

Reports and Reconciliation Guide Transaction Reports

Contents I. Transaction Reports All Checks... 2 II. Transaction Reports Outstanding Issued Checks... 3 III. Transaction Reports Daily Issued Checks Summary... 4 IV. Transaction Reports Paid Checks... 4 V. Transaction Reports ACH Transactions... 5 VI. Transaction Reports Stops and Voids... 6 VII. Transaction Reports Exception Items... 7 VIII. Transaction Reports Stale Dated Checks... 8 IX. Transaction Reports Check Reconciliation Summary... 8 X. Transaction Reports Deposit Reconciliation Summary... 10 XI. Transaction Reports Account Reconciliation Summary... 11 1 of 12

I. Transaction Reports All Checks The All Checks Report filter screen generates an on-line report using dynamic selection criteria. Select items by Issued Date, Paid Date, Input Date, Exception Date or Issued Payee. Optionally select items that meet a specific pay/return decision or return reason. Optionally chose specific accounts to be included in the By default, all assigned accounts are included in the The report can be printed or exported to Excel by clicking on the buttons. Click on "Go Back" to return to the report 2 of 12

II. Transaction Reports Outstanding Issued Checks The Outstanding Issued Checks report filter screen allows the user to create an outstanding issued checks report using dynamic selection criteria. Select items by Issued Date, Input Date, Outstanding as of Date or Issued Payee. The report can be printed or exported to Excel by clicking on the buttons. (M) Indicates that the check was manually entered and not part of an Issued Check File upload. 3 of 12

III. Transaction Reports Daily Issued Checks Summary The Daily Issued Checks Summary report is an easy way to see how many checks were issued on any given day and their totals. The dynamic selection criterion allows the user to fine tune the report to their specific needs. This includes both manually loaded checks and checks uploaded through an issued check file. The report can be printed or exported to Excel by clicking on the buttons. Additionally, the issued date criteria can be changed without going back IV. Transaction Reports Paid Checks The Paid Checks report filter screen allows the user to create a report of paid checks using dynamic selection criteria. Select items by Issued Date, Paid Date, Input Date or Issued Payee. 4 of 12

The report can be printed or exported to Excel by clicking on the buttons. V. Transaction Reports ACH Transactions The ACH Transactions report filter screen allows the user to create a report of ACH transactions for a specific date range. If no date range is defined, all ACH transactions currently stored within the system are displayed. Report may be filtered by Paid Date, SEC Code or Company ID. The report can be printed or exported to Excel by clicking on the buttons. Additionally, the paid date criteria can be changed without going back 7047003419 7047003419 7047003419 7047003419 7047003419 7047003419 The Transaction Description that displays on this report is the same information that appears in your Online Banking history. 5 of 12

VI. Transaction Reports Stops and Voids The Stops and Voids report filter screen allows the user to create a report of checks that have been stopped or voided. Select items by Issued Date, Void Date, Stop Placed Date, Item Stopped Date or Issued Payee. This report will only show Voided items. The report can be printed or exported to Excel by clicking on the buttons. 6 of 12

VII. Transaction Reports Exception Items The Exception Items report filter screen allows the user to generate a report of items that were flagged as exception items. Optionally select items that meet specific criteria. Criteria can include: Exception Date, Exception Type (ACH, Check or Both), pay/return decision or return reason. The report can be printed or exported to Excel by clicking on the buttons. 7 of 12

VIII. Transaction Reports Stale Dated Checks The Stale Dated Checks report filter screen allows the user to create a report of stale dated checks using dynamic selection criteria. A check is considered stale dated based upon the Stale Dated Check Days defined in the Institution specifications. Select items by Issued Date, Input Date, As of Date or Issued Payee. The report can be printed or exported to Excel by clicking on the buttons. IX. Transaction Reports Check Reconciliation Summary The Check Reconciliation Summary report is used to assist in balancing online account balances with a customer statement. The report displays an activity summary of newly issued checks, paid checks, and stopped/voided checks. The report also provides a total of outstanding checks as of the reconciliation date. 8 of 12

Reconcile Through Date: The ending date of the reconciliation period. The beginning date of the reconciliation period is based upon the last reconciliation performed on the account. The first time an account is reconciled, all activity up until the Reconcile Through Date will be included. Click on Finish Reconciliation to reconcile the checks. The Reconcile History on the right side of the screen provides links to previous reconciliation reports that have been performed on this account. To display a detailed list of the items for any of the totals listed on the report, click on the Show link. 9 of 12

X. Transaction Reports Deposit Reconciliation Summary The Deposit Reconciliation Summary report is used by clients to verify deposits made to an account. This report allows the client to reconcile a full list of all deposits on an account or to reconcile deposits for each location separately. This report can be used to verify deposits that have posted to an account against what was manually entered into your accounting system. Click on Finish Reconciliation to reconcile the deposits. The Reconcile History on the right side of the screen provides links to previous reconciliation reports that have been performed on this account. Manage Locations: If the corporate client is depositing by location, the "Manage Locations" option will be displayed. When selected, a list of the locations will be displayed with an option to define a description for the location. 10 of 12

XI. Transaction Reports Account Reconciliation Summary The Account Reconciliation Summary is used to assist in balancing online account balances with a customer statement. The report displays an activity summary with newly issued checks, paid checks, stopped checks, voided checks, ACH debits and credits, miscellaneous debits and credits, deposits, service charges, paid interest and taxes/withholding. The report also provides a total of outstanding checks and the check register balance as of reconciliation date. The Reconcile History on the right side of the screen provides links to previous reconciliation reports that have been performed on this account. Enter the balance that you are reconciling to, either from your most recent statement or the current balance in your account and click Calculate. Click Finish Reconciliation to reconcile the account. 11 of 12

Click Export to Excel to export a copy of the report to excel After clicking on a link in the Reconcilement History, an Account Reconciliation Report will be displayed with all items that were reconciled on the 12 of 12