The Instructions tab for the Stopped Payment/Reissued Checks report process for employee checks has been modified to indicate that the cleared checks process for the original check number (the lost check) should always be undone when the new check date is not in the same month as the original check date. This will ensure that cash is affected correctly in Financial Management. If your organization is using the Affect Date feature in OpenRDA, you may want to always undo clear checks when the reissue check date is not the same as the original check date.

VENDOR VOUCHERS: TOTAL CHECK AMOUNT
A new virtual field has been added to the Banking tab of the Vendor Voucher Maintain Screen. This virtual field will display the total amount...
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