Road Map: Laser Check Print
Use the Check Print (NCP) program to print ISO and Check 21-complant checks on blank check stock. See Check Printing Setup and Background.
Before you run this program each time
You should run these programs in this sequence:
AP Invoice Entry (NE) to enter vendor invoices and print the AP Invoice Register.
Vendor Invoice Payments (NC) to select invoices for payment and print the Cash Requirements report.
Before you run this program the first time
You should run these programs:
System Options Maintenance (XM) program (Accounts Payable Options) to set the Bank reconciliation system active? and AP check program name options.
System Options Maintenance (XM) (Enterprise Options) to select a date display format for your enterprise, Branch Maintenance (TBM) to select a date display format for your branch, or User Maintenance (UIM) to select a date display format for an individual user.
Payment Method Batch Maintenance (TAPMB) to set the format for checks to be printed on a laser printer.
Vendor Maintenance (VM) to set up vendor records.
GL Account Maintenance (GMM) to set up GL organization codes and GL accounts.
Accounting Period Maintenance (GDM) to set up period-ending dates for accounting periods and years.
Output Device Maintenance (XDM) to set up the output devices that you plan to use.
Date-Output Device Maintenance (ZE) to select your default output device and set whether you can override that device.
After you run this program
You will most likely run this program:
AP Payment Register (NCR) to print the AP Payment Register and update the general ledger.
Check Inquiry/Reprint (NCRI) to display checks and print a non-negotiable copy of a check.
Check Inquiry (NCI) to display checks.