PR85.1 - Bank Account Reconciliation Use PR85.1 (Bank Account Reconciliation) to reconcile and void payments closed by running PR199 (Payroll Close). You can reconcile individual payments or a range of payments. You can also void partial payments. ACH payments are automatically assigned a reconciled status when you run PR199. If the bank provides account activity on magnetic tape, run PR165 (Bank Reconciliation Tape Processing) to update PR85.1 with all bank activity that occurred during a specific period of time. To void a payment, select line action Void next to the appropriate payment. You can type a date for the void, or allow the system date to default. The system updates payroll history files based on the void date. The system also uses the void date when creating reversing general ledger entries for a voided payment or partial voided payment. To void a partial payment, select P in the Type field. Choose the ACH void button (asterisk) to indicate the general ledger offset accounts. If you enter No in the Create Distributions field on the company or process level record, or if payroll history is purged, the system creates general ledger distributions based on current distribution information. Run PR150 (Distribution Edit) to produce a listing of distribution transactions before you run PR199. To update history files for the voided payment, run PR199. If you do not run PR199 specifically to close voided payments, the voided payments are updated when you run PR199 for the next payroll cycle. Updated Files ACCOMMIT - ACCOMMITX - ATTENDHIST - Referenced by the employee object only. EMDEDMASTR - Used to update the employee's deduction balance. EMPACHDIST - Used to validate employee ACH distributions and update distribution information. PAYDEDUCTN - Maintained by this program. PAYMASTR - Maintained by this program. Used to verify if an Employee Payment Distribution file record exists for a payment, and to validate the payment status. PBTIMEREC - PRCHECK - Maintained by this program. Used to validate the payment number and the payment status. PRDISTRIB - Maintained by this program. Used to validate distributions. PREMDEDHST - Referenced by the employee object only. PRGARNHIST - PRPAYCODE - Used to update the pay code on void payments. PRSYSTEM - Updates the company with payment information. PRTIME - Used to update time record information. QUARTDED - Used to update quarterly deduction information. QUARTWAGE - Used to update quarterly wage information. TERMS - TIMERECORD - Used to create reversal time records. TIPPAY - Used to create tip pay reversals. TMEMPLVDTL - TPPARAM - Used to validate tip parameters. TRSGBLCK - Referenced Files ACACCTCAT - ACACTGRP - ACACTIVITY - ACCAL - ACCALX - APCOMPANY - APCPYVND - APHLDINV - APVENCLASS - APVENGROUP - APVENMAST - ATTENDCODE - Referenced by the employee object only. BANKACCT - Maintained by this program. Used to update last payment ID, and to validate the entered bank account. BANKFILE - Used to validate the bank code. CUCONV - CURELAT - DEDCODE - Used to retrieve deduction information for validation. DEPTCODE - DEPTSEGBLK - EMDISTMAST - Used to retrieve distribution percent information. EMPLOYEE - Maintained by this program. Used to update the employee's last distribution sequence when you void a payment. EMTAMASTR - Used to verify period end dates when you void a payment. GLADDRESS - GLCHART - GLINTCO - GLSYSTEM - HRSECLEV - Used to validate the employee's data item security level. JOBCODE - PAEMPPOS - PAPOSITION - PAPOSRULE - PAYSUMGRP - Used to retrieve the pay summary group and tip pay type, and to update tip pay information. PBCLIENT - PERSACTION - PREMPGARN - PROTACCTS - PRRATEHIST - PRRATES - PRSAGDTL - PRSAGHEAD - PRSHIFTHDR - PRSHIFTTBL - PRSTATE - PRTAXAUTH - PRTAXGRP - PRVENDOR - PSGRELATE - SYSTEMCODE - PR85.2 - Bank Account Totals The Bank Account Totals subform displays payment totals for the account and parameters selected in PR85.1 (Bank Account Reconciliation). From the subform, you can select other account payment totals to view. You can also select parameters, to display totals for a specific date range, a specific payment type, or both. Updated Files None. Referenced Files EMPACHDIST - Used to display ACH totals. PRCHECK - Used to display payment totals. PRSYSTEM - Used to validate the company. INVOKED Programs HRFN IFAC ACAC IFCR IFSG IFCU IFAU SLSE SLSU IFOB IFRS PREN SLSS |