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ICHECKS iCheck Menu 6.91 06.27.18
System: DEVV6CLT
Check Applications
1. Work with Checks WRKIFDCHK
Journaling and Audit Trail
2. Enable Check Journaling
3. Generate Journal Report PRTADTTRL
iDocs Manual Checks
4. Generate a Manual Payroll Check CRTPRPCHK
5. Configure Manual Payroll Defaults CFGPRPCHK
6. Create A Blank Manual Check CRTMANCHK
7. Generate a Manual AP Check CRTAPPCHK
ePayment
8. Positive Pay - iSeries Native Check Security GO IPAY
9. iACH - ACH Electronic Payment GO IACH
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Selection
F1=Help F3=Exit F12=Cancel
3/04/19 FM0465C1
08:41:13 Work with Check Applications KKRAMER
1=Edit 2=Configure data map 3=Copy 4=Delete
7=Rename 8=Work with map fields 11=Conditional 14=Smart Routing
15=Merge with Spool File 16=Print Overlays 18=Spool Routing
19=Work with database map 20=Merge with database map
Search a name . *START, NAME
Opt Check Description Status
AAACHECK Ken tst PP w/o user data *CHECKIN
AAACHECKU Ken tst PP w/ user data *CHECKIN
CGC111PCI ACCOUNTS PAYABLE CHECK(L) *CHECKIN
CGC111PP AP CHECK(L)with Pos Pay *CHECKIN
CGC111SPL AP CHECK w/ no chk# -new *CHECKIN
CGC111SPX AP CHECK w/ no chk# -old *CHECKIN
CGC111SPZ AP CHECK w/ no chk# -o/n *CHECKIN
CGC112PCI CMS PR chk - LNG 08/2011 *CHECKIN
CGC112SB CMS PR-L STERLING BOILER *CHECKIN
A-APHOPSA# QASPLFL/SCHUFF APP032 *CHECKIN
A-APHOPSAV QASPLFL/SCHUFF APP032 *CHECKIN
A-APHOPSAX QASPLFL/SCHUFF APP032 *CHECKIN
More...
F3=Exit F6=Add F13=Database Mapping F15=Global Offset F22=Change Password
Option 1 allows you to define a check application. Systemically, an iDocs check application is a form application with two specific fields defined:
Therefore, to create a check either use iMap to create a form application defining those fields, or go to menu IDOCS, option 2, and create a check application also defining CHECK# (or CHECK#MOD9 if the Modulus 9 checksum digit is required in the serial number field of the MICR) and CHECK$. Greenscreen option 2 is identical to creating a form application . Forms and checks are segregated on the menu so make certain to use the correct menu option.
Note: A new enhancement on iDocs 8.0 (10/15/24) provides an option to print leading zeros on the check number. i.e. If the check number is '123456' and you need it to appear as '00123456' on the check output, map the CHECK# field to include the desired number of leading spaces. (In this example as 8 digits instead of the actual spool file value of 6 digits.) Then change the data area DSCHKZERO from blank to 'Y'. All related check number mapped data fields matched by the exact map coordinates of CHECK# will also appear on the printed output with leading zeros.
With both methods, and after mapping upload from iMap to the System i server, you should take the iChecks menu option, use option 1 to display the check, then select F5=iCheck to work with check options. These are shown immediately below.
5/11/07 iChecks FM2511S2
15:12:35 Bank File Maintenance QSECOFR
Font
Form Name . . . DEMOCHK Xloc Yloc F4=List
Company Name . . APPLE ENTERPRISES 450 2300 Arial 10pt R
Co. Address 1 . 15540 ROCKFIELD BLVD. 450 2350 Arial 8pt Re
Co. Address 2 . SUITE A 450 2400 Arial 8pt Re
Co. Address 3 . IRVINE, CA 92618 450 2450 Arial 8pt Re
Co. Address 4 .
Bank Name . . . BANK OF AMERICA 1000 2300 Arial 6pt Re
Bank Address 1 . PACIFIC COAST BRANCH 1000 2340 Arial 6pt Re
Bank Address 2 . P.O. BOX 543 1000 2380 Arial 6pt Re
Bank Address 3 .
Account Number . 010203040506 Positive Pay ID:
Transit Number . 987654321 MICR Line loc: 480 3220
Routing Number(Upper)
Routing Number(Lower)
Comment/Type . . . .
Check Number (Y/N) N No.Digits Prefix: Tran Code:
Print Logo (Y/N) Y Logo Macro: DEMOLOGO F4 Dollar Amount in MICR
Print Signature(Y/N) Y Signature Macro1: DEMOSIG Macro2: Aut N F7
Signature Limit1 . . Limit2:
1=Help F3=Exit F10=Update F11=Logo Macro Placement F12=Cancel F13=MICR
Example: Signature Limit 1 100.00; Signature Limit 2 1,000.00 = Check amounts .01 - 100.00 signature 1 and signature 2 would print Check amounts 100.01 - 1,000.00 only signature 2 would print. Check amount 1,000.01 and above no signatures would print. Manual signature is required.Note: As an enhancement to iDocs 5: If data area DSOVER is NOT equal to 3 blanks, Screen would now read: Signature Start1 and Signature Start2 (instead of Signature Limit1 and Limit2). The logic would be reversed for the purpose to specify dollar amounts above that the signature 1 and/or signature 2 macros will print.
Example: Signature Start 1 100.00; Signature Start 2 1,000.00 = Check amount .01 - 99.99 no signatures would print. Manual signature is required. Check amounts 100.00 - 999.99 signature 1 would print Check amounts 1,000.00 and above signature 1 and signature 2 would print
Note: If Removable Check Secure (Y/N) = Y on the Check Application, both the logo and signature fields will contain the verbiage of 'ID' instead of 'Macro'. This 3 digit macro ID is the number assigned when generating the macro with MacMaker. These macros will be stored on the printer resident “flash” device. Their ID's will print out each time the flashcard is inserted into the check secure device.
Optional MICR line manipulation symbols
'@' = Suppress leading space
'#' = Insert a space
' * ' = Suppress On-Us symbol
'!' = Suppress Transit symbol (before Transit # and the space preceding the On-Us symbol)
'&' = The Transit Number Symbol
'/' = The On-Us Symbol
'$' = The Amount Symbol
'-' = The Dash Symbol
iDocs contains controls to track who created checks, the day and time that the checks were created and the work station used to create them. For an accounting manager, this information is useful to flag potential anomalies in instances where the same check was created twice. For this reason the journal feature is included as apart of iChecks and needs to be both enabled and configured.
Selecting option 2 from the utility menu generates the following configuration screen.
8/12/07 inFORM Decisions FM7100
10:48:26 Enable Disable Check Journaling QSECOFR
Security Password:
Enable Check Journaling: N
F3=Exit F12=Previous
To enable the journal feature, change the software switch from above to 'Y'. Next, to configure check journaling, the check month, check day, and check year all need to be identified within the application using the reserved mapped fields: CHECKMM, CHECKDD, and CHECKYY respectively. Lastly, from within the bank file maintenance screen, the Positive Pay ID prompt needs to be populated with the check account number.
Neglecting to identify the check date from the spooled file content will result in the check date being populated with the current date.
Option 3 enables the previously collected audit information to be printed. Selecting the item allow the audit criteria to be refined and isolated to a specific date range, and user profile.
Print Audit Trail (PRTADTTRL)
Type choices, press Enter.
Destination Output queue . . . . Name
Library . . . . . . . . . . . *LIBL Name, *LIBL
Low range user profile . . . . . Character value
High range user profile . . . . Character value
Begin Date . . . . . . . . . . . Date
End Date . . . . . . . . . . . . Date
Option 4 Enables a manual payroll check to be produced on the fly outside the accounting system. Information entered here needs be reentered for tracking purposes. That said, this enables a user to quickly generate an on-the-fly check containing values not only for the net amount of the check, but also for the check receipt. The receipt lists all of the current and year to date information necessary to closely mirror the same information that would appear on a regularly scheduled check receipt.
Option 5 allows default values to be set or changed when generating checks.
8/12/07 FM0495
11:09:30 Configure Manual Pay Checks QSECOFR
Default Default Default Default Default
Form Bank Library Outq Check#
F1=Help F3=Exit F10=Save F12=Cancel
Option 6 enables a spooled file to be created with check numbers generated on each page for the range specified. Once the intermediate spooled file is created, the spooled file is merged with the iCheck Application and the bank file specified from the command. Amounts are not prompted for as this command acts only to print blank checks themselves.
Create Manual Check (CRTMANCHK)
Type choices, press Enter.
Output queue . . . . . . . . . . FMGMICR
Out Queue . . . . . . . . . . FMG
From Check Number . . . . . . . 1-999999
To Check Number . . . . . . . . 1-999999
Form Application . . . . . . . . *NONE Value, or F4 for list
Bank Definition . . . . . . . . *NONE Value, or F4 for list
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F3=Exit F4=Prompt F5=Refresh F12=Cancel F13=How to use this display
Note: The check number must be mapped from the BLANKCHECK spool file in the FMGMICR output queue. (Row 1 columns 12-21)
Upon execution, 2 entries are created:
1. A raw spool file BLANKCHECK is created in the FMGMICR/FMG output queue. It contains 1 page for each of the check numbers generated. i.e. In the example shown below, the spool file BLANKCHECK in the FMG/FMGMICR output queue is 2 pages. 2. A merged ASCII print file containing both data and overlay in the selected output queue.
Work with Output Queue
Queue: FMGMICR Library: FMG Status: RLS
Type options, press Enter.
1=Send 2=Change 3=Hold 4=Delete 5=Display 6=Release 7=Messages
8=Attributes 9=Work with printing status
Opt File User User Data Sts Pages Copies Form Type Pty
BLANKCHECK IDOCSUSER CSGAPCHK RDY 1 1 *STD 5
BLANKCHECK IDOCSUSER CSGAPCHK RDY 1* 1 *STD 5
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Parameters for options 1, 2, 3 or command
A sample raw spool file BLANKCHECK with two pages, 1 each for check numbers 99990 to 99991 is shown below:
Display Spooled File
File . . . . . : BLANKCHECK Page/Line 1/1
Control . . . . . Columns 1 - 130
Find . . . . . .
*...+....1....+....2....+....3....+....4....+....5....+....6....+....7....+....8....+....9....+....0....+....1....+....2....+....3
Check No: 0000099990
Check No: 0000099991
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F3=Exit F12=Cancel F19=Left F20=Right F24=More keys
A sample Check Application Spooled Datamap Screen is hown below:
3/15/11 12=Cancel iDocs Form Suite FM2540C1
14:53:08 Spooled Datamap Field Maintenance KKRAMER
Form: BLANKCHECK blank check from Util #42
1=Select 3=Copy 4=Delete 5=Display
From To Map
Sel Fld Name Description Row Col Row Col Type Fld Xloc Yloc
A1CHECK# PRINT CHECK NUMBER 1 12 1 21 2 2100 170
CHECK# Check Number 1 12 1 21 2 9998 9998
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F3=Exit F6=Add F7=Font/No Font F12=Cancel
Option 7 enables a user to generate generic check information for accounts payable checks for as many entries specified. Choosing this item displays a blank slate entry for from which the user may enter in the check information in a free style format. Once entered, a properly configured accounts payable check application that maps correctly the relevant check fields will produce the desired checks.
Note that proper authority needs needs to be exercised to run this command which is secured with a password.
The output goes to a spool file called APCHECK in outque FMGBURST. This data must be mapped on an existing check application.
Below contains the example of the entry screen for this AP check entry function:
8/12/07 inFORM Decisions FM0497D1
11:30:05 Manual AP Check QSECOFR
AP Check Remittance Information
Line 1 details
Line 2 details
F3=Exit F10=Save F12=Cancel F15=Checks
F10 for the check information screen:
8/26/11 inFORM Decisions FM0497D2
17:21:56 Manual AP Check QSECOFR
Check Number. . . . . : 100001
Check Amount. . . . . : 100.00
Check Date. . . . . . : 08/24/2011
Accounts Payable Payee: John Smith
1234 Main St
Anytown, PA USA
F3=Exit F10=Save F12=Cancel
F10 to Save.
When finished, press F15 for Checks.
8/26/11 inFORM Decisions FM0497D7
17:28:05 Manual AP Check QSECOFR
Type information, press Enter.
Form Application: MANUALCHECKS F4=List
Bank File Maintenance: MANUALCHECKS F4=List
Out Queue Library: FMG
Out Queue Name: FMGBURST
F3=Exit F10=Save F12=Cancel
The spool file generated in FMG/FMGBURST is free form but will resemble this:
Line ....+... 1 ...+... 2 ...+... 3 ...+... 4 ...+... 5 ...+... 6 ...+... 7 .
1 Line 1 details
2 Line 2 details
3
4
5
6
7
8
9
10
11
12
13
14
15
16 $100.00
17 08/24/2011
18 000000100001
19 John Smith
20 1234 Main St
21 Anytown, PA USA
22
23
24
25 One Hundred Dollars and 00 Cents
26
27
28
29
30
At this point, you can exit the Utility Menu. Go to iChecks and select the check application with an option 2 to configure the data map.
[Go There] Positive Pay400 is a positive pay package with full iDoc integration. Checks produced with iChecks are automatically entered into the Positive Pay database, and the check information is uploaded to the bank for comparison to the check data from clearing.
[Go There] Native System i ACH capability.
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