Print Checks

Printing checks automatically saves each check as a PDF attachment so you can view the checks for reference. This PDF is attached to the account for which the disbursement was issued. You can view it from the Disbursements area by clicking Access > Attachments. These PDFs print with watermark text identifying them as copies. If your system is set up to generate an activity when checks are printed, the PDF is attached to the activity as well.

To assign a security access level to attachments generated by printing checks, go to System Generated Attachments Configuration.

  1. Access the Disbursements area or the Vouchers area.
  2. Do one of the following:
  3. You can change the columns that display in the list if necessary.
  4. Select the Bank account.
  5. Choose an Agency for which to print checks, or leave the default setting of <All> to print checks for all agencies.
  6. Enter a Show disbursements through date, or click the down arrow to the right of the field to pick a date from the dropdown calendar.
  7. Click Locate.
  8. In the Available Disbursements list, checks are marked by default to print. Click the Deselect All link label to deselect all of the checkboxes, or deselect individual checkboxes for specific checks that should not print.
  9. The Starting check # defaults but can be changed if necessary.

    Note: Check numbers cannot be reused for any one bank account.
  10. Click Finish or press [Enter]. The way you select print options depends on the way you access Applied Epic:

Click Cancel to exit the workflow without printing checks.

See Also