Cashier's Check Listing [R0205]

The Cashier's Check Listing [R0205] provides a register of all cashier's checks currently pending disbursement, regardless of the actual disbursement date. The Cashier's Check Listing [R0205] report is informational only. It may be used to review all current and pending cashier's checks. Generating this report does not cause formatted checks to be created or LeasePak files to be updated. To produce the actual register of checks due to be disbursed and to produce formatted checks, if applicable, use the Cashier's Check Disbursal update [U0117]. The Cashier's Check Disbursal update [U0117] may be executed interactively or automatically at the end of the day. Refer to the Cashier's Check Disbursal update [U0117] documentation for more information.

The report is organized by Portfolio, Company, Region, Office. The report may be accessed through the Operational Management report menu [R02] and may be selected interactively for:

 

Cashier's Check Listing

If either "ALL" or "PORT" was selected on the first screen, a second selection screen appears allowing selection of investor, vendor, broker or lease.

 

Cashier's Check Listing


The Cashier's Check Listing [R0205] reports at the check level and provides the following information:

 

Cashier's Check Listing

(if Reverse Payable module is purchased)


This is the format of the Cashier's Check Listing [R0205] report when the Reverse Payable's module is purchased. This report is sorted by bank account and check number. This report format provides the following information: