Check Transactions
Path: ERP > Finance-Accounting > Check-Note
Check List Filtering Options

- Transaction Type: Check transactions can be filtered by selecting the desired transaction type.
- Current Account: Check display for the current account being processed can be filtered.
- Bank Account: Filtering according to the bank account selected for the check transaction.
- Subgroup Definitions: It can be filtered according to the department where you carry out the check.
- Recorded by: It can be filtered according to the user who made the check.
- Payment Type/Collection: It can be filtered according to the payment and collection method selected in the check transaction.
- Start/End Date: The payment made/to be made for the check transaction can be filtered according to the date of collection transactions.
- Project: The check can be associated with the project.
Check Transactions List

Attention: In order to use the Check Transactions screens, "Transaction Type" definitions for the relevant screens are provided on the Transaction Categories screen. should be done. For detailed information on the subject, you can read our article titled "Check/Note Transaction Categories".
Check Entry Slip
Path: ERP > Finance-Accounting > Check-Note > Check Entry Payroll

- Check Number: The check is numbered so that it can be tracked.
- Bank:The bank and branch where the check will be processed are identified.
- Bank Branch: Check The bank branch where the transaction will be made is defined.
- Transaction Currency: The amount and currency of the check are defined.
- Maturity Date: The maturity date of the check is defined.
- Account Number: The account number for the check entry is defined.
- Payment Place:The place where the check will be paid is defined.
- Debtor: The information of the debtor of the check is defined.
- Special Code: Optionally, a special code is defined for check entry.
- Tax Office: The tax office to which the check will be paid is defined.
- Tax Number: Number for tax payment. is defined.
- Enderor: The information of the person who will endorse the check is defined.
Check Return Entry Slip
The one who returns the paid check to the cash register for collection purposes.
Path: ERP > Finance - Accounting > Check - Promissory Note > Check Return Issue Slip

By selecting Transaction Type, Current Account, Transaction Date and Cash on the screen, the check to be refunded is added to the line with the marked "Select Check" button. is added.
Attention: The check to be returned is processed through the cash register. Therefore, the Check selection process cannot be carried out without selecting the cash register.
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