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        Outstanding & Missing Checks 
        Make the following menu selections to display this tab: 
 
        eFinancials—Reports—AP Reports—Outstanding 
 & Missing Checks
        Use this tab to print a list of accounts payable outstanding 
 and missing checks.
         Report Description
Report Description
        
        
            This report lists outstanding checks with dates on or 
 before the ending date. You can also run this report to list missing deposit 
 advices for the selected dates and any missing checks within a range of 
 check numbers.
            A check is considered outstanding if any of the following 
 statements are true:
            
                - The check date is 
 within a given parameter range and the check has not been reconciled.
- The check date is 
 within a given parameter range and the reconcile date is later than the 
 parameter end date.
- The check date is 
 earlier than the parameter start date and the check has not been reconciled 
 or voided.
- The check date is 
 earlier than the parameter start date and the check was reconciled or 
 voided after the parameter end date.
 
         To Print the Report
To Print the Report
        
        
            
                - From the eFinancials 
 menu, select Reports—AP 
 Reports—Outstanding 
 & Missing Checks.
- From the 
 Bank Account drop-down list, select 
 a bank account on which to draw the outstanding checks for the report.
- From the 
 Check Number From and To 
 fields, type a check number range for the report. Or, to list all outstanding 
 checks, leave the fields blank.
- From the 
 Check Date From and To fields, enter a check date range 
 for the report. Or, to list all outstanding checks, leave the field blank.
- To include missing checks on the report, 
 select the Include 
 Missing Checks check box. 
 Or, if you do not want to include missing checks, clear the check box
                 Note
 Note
            The report prints a line for all missing checks within 
 the range entered in the Check Number 
 From and To fields.
            
                - To include outstanding deposit advices 
 on the report (based on the specified Check Number and Check Date ranges), 
 select the Include 
 Deposit Advices check box. 
 Or, if you do not want to include deposit advices, clear the check box.
- Select 
 one of the following report printing options: 
                    - PDF 
 Format: Print the report in PDF format for use in a PDF viewer, 
 such as Acrobat.
                    - Create 
 Spreadsheet: Prints the report in an Excel spreadsheet. 
- Click Print. If you selected Create Spreadsheet, 
 you are prompted to open or save the report Excel file. Otherwise, the 
 report opens in PDF format.
 
        See Also
        Reports 
 Introduction