Pay a Combined Reconciliation

Paying a combined reconciliation statement launches the Add a Disbursement workflow and updates the statement’s Suspended status to Finalized. Most payment information defaults when you pay a statement from the Reconciliations area, so very little manual data entry is required.

If the Journal Entry Approval Process is enabled, only journal entries with an Approved or System Approved status affect General Ledger balances and display on reconciliation screens. Journal entries with a Working, Submitted, or Rejected status are excluded.

  1. Access the Reconciliations area.

  2. Click Combined Reconciliations under Reconciliations on the navigation panel.

  3. The Combined Reconciliation screen displays. Enter search criteria to populate the list.

Click here for an explanation of reconciliation statuses.

  1. Select a reconciliation in the list and do one of the following:

Note: You cannot perform any actions on statements containing archived transactions.

  1. You are prompted, Do you wish to pay this statement immediately? Click Yes to pay the statement, or click Cancel to exit the workflow. If you click Cancel, the statement’s status is still updated to Finalized, but the Add Disbursement screen does not display.
  2. The Add Disbursement window displays. Select the Bank account.
  3. The Effective date, Accounting month, and Description default, but you can change them if necessary.
  4. Information in the Pay to the Order of section defaults, but you can change it if necessary.
  5. Information in the Check/EFT section defaults based on how the bank account has been defined, but it you can overwrite it. Select the Print checkbox to print a check. If a check has already been printed, deselect the Print checkbox and enter the Check #.
  6. If you selected Print, the Include check stub detail option is selected by default. Deselect this checkbox to print the check without any supporting detail.
  7. Optionally, enter a Memo and/or Remittance.
  8. In the Routing field, optionally enter any information indicating where the check should be sent (for example, you might want to mail the check to another employee before mailing it to the payee).
  9. Enter any additional Comments you want to print on the check stub.
  10. Click Continue or press [Enter] to proceed to disbursement detail.

    Click Cancel or press [Esc] to close the window without paying the statement.