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:
- all
leases
- all customers
and groups
- a portfolio
- a
company
- a region
- an
office
- a lease
- a
customer
- a customer/group
- an
Investor
Cashier's
Check Listing
- ALL
Enter 'X' to report on pending
cashier's checks for all leases. Leave blank to report on a specific portfolio,
company, region, office, lease, customer, group or investor. If ALL is selected,
checks for leases that belong to a customer or to a group
are also reported. However, these checks are sorted by the portfolio, company,
region, office, and lease numbers to which it belongs, rather than their customer
or group numbers.
- ALL
CUST
Enter 'X' to report
on pending cashier's checks for all customers. Leave blank to report on a specific
portfolio, company, region, office, lease, customer and/or group. If ALL CUST
is selected, only checks for leases that belong to a customer or to a group are
reported (sorted by customer and group).
- PORT
Enter the number of the
portfolio upon which to report. Leave blank if reporting across portfolios.
- COMP
Enter
the number of the company upon which to report. Leave blank if reporting across
companies.
- REGN
Enter the number of the
region upon which to report. Leave blank if reporting across regions.
- OFFIC
Enter
the number of the office upon which to report. Leave blank if reporting across
offices.
- LEASE
Enter the number of the
specific lease upon which to report.
- CUST
Enter the number of the
customer upon which to report. CUST may not be entered if a portfolio, company,
region, office, and/or lease number is entered. CUST must be entered if GROUP
is entered.
- GROUP
Enter the number of the
group upon which to report. GROUP may not be entered if a portfolio, company,
region, office, and/or lease number is entered.
- INVST
Enter the number of the
specific investor upon which to report. INVST may not be entered if a portfolio,
company, region, office, and/or lease number or customer and/or group number is
entered.
- LEASE
Enter the number of the
specific lease upon which to report. LEASE may not be entered if a portfolio,
company, region, office, and/or lease number or customer and/or group number is
entered.
If
either "ALL" or "PORT" was selected on the first screen, a
second selection screen appears allowing selection of investor, vendor, broker
or lease.
- ALL
Enter 'X' to report on pending
cashier's checks for all check types. Leave blank to report on lease, vendor,
broker, or investor check types.
- LEASE
Enter 'X' to select reporting
of checks belonging to leases. Leave blank if lease checks are not to be reported.
- VENDOR
Enter 'X' to select reporting
of checks belonging to vendors. Leave blank if vendor checks are not to be reported.
- BROKER
Enter 'X' to select reporting
of checks belonging to brokers. Leave blank if broker checks are not to be reported.
- INVESTOR
Enter 'X' to select reporting
of checks belonging to investors. Leave blank if investor checks are not to be
reported.
Cashier's
Check Listing
The Cashier's Check Listing [R0205] reports at the check level and provides the
following information:
- LEASE
If generating the report
by lease, the lease number is displayed.
- CUSTOMER
If generating the report
by customer or group, the customer number is displayed.
- GROUP
If generating the report
by customer or group, the group number is displayed.
- INVESTOR
If generating the report
by investor, the investor number is displayed.
- CHECK
NUMBER
The internal
check number, assigned sequentially by the system, is displayed. When the actual
register and checks are printed (at the end of the day through the End of Period
update [U0401] or by the interactive Cashier's Check Disbursal
update [U0117]), a specific starting check number must be entered by the operator.
This is the check number that is printed on the Cashier's Check Register and on
the formatted check. This enables the check register numbers to coincide with
the actual check numbers used.
- PAYEE
NAME
The payee name
and address is displayed.
- SOURCE
OF CHECK
The update
(e.g., New Lease, Payoff, etc.) which initiated the cashier's check to be disbursed
is displayed.
- REFERENCE
Comments or a check reference,
as entered by the operator, are displayed.
- AMOUNT
The dollar amount of the check is displayed.
- TOTALS
Page totals are shown for the total check amount.
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 module is purchased. This report is sorted by bank account and check
number. This report format provides the following information:
- BANK ACCOUNT
The
bank account used in the check disbursal is displayed.
- BANK
CHECK NUMBER
The user
assigned bank check number is displayed.
- LP
CHECK NUMBER
The LeasePak
assigned internal check number is displayed.
- STATUS
The status of the check
is displayed. Valid status' are (V)oid, (P)rinted, and blank.
- ASSET
The asset number associated with the
check is displayed.
- PAYEE
NAME
The payee name
and address is displayed.
- SOURCE
OF CHECK
The update
(e.g., New Lease, Payoff, etc.) which initiated the cashier's check to be disbursed
is displayed.
- REFERENCE
Comments or a check reference,
as entered by the operator, are displayed.
- AMOUNT
The dollar amount of the
check is displayed.
- TOTALS
Page totals are shown for the total check amount.
LeasePak Documentation Suite
©
by NetSol Technologies Inc. All rights reserved.
The
information contained in this document is the property of NetSol Technologies Inc.
Use of the information contained herein is restricted. Conditions of use are subject
to change without notice. NetSol Technologies Inc. assumes no liability for any inaccuracy
that may appear in this document; the contents of this document do not constitute
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software described in this document is furnished under license and may be used
or copied only in accordance with the terms of said license. Unauthorized
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