You can issue electronic and manual checks in Dynamics NAV. Both methods use the payment journal to issue checks to vendors. You can also void checks and view check ledger entries.
The process of issuing checks suggests payments, creates ledger entries, and prints the computer checks.
To make sure that your bank only clears validated checks and amounts, you can send them a file that contains vendor, check, and payment information. For more information, see How to: Export a Positive Pay file.
Your printer must be correctly set up with the check forms, and you must define which check layout to use. For more information, see How to: Define Check Layouts
In the Bank Payment Type field on journal lines for payment that you want to make with checks, select one of the following options:
Manual Check: Select this option if you have created a check manually and want to create a corresponding check ledger entry for this amount. By using this option, you cannot print checks from Dynamics NAV. You can only select Manual Check if the Bal. Account Type or the Account Type is Bank Account.
You must print computer checks before you post the related journal lines.
If you want to print checks in more than one currency from different bank accounts, you must run the Print Check batch job separately for each currency and specify the appropriate bank account.
You can cancel non-posted checks after they have been printed by using the Void Check action in the Payment Journal window.
When check payment have been posted, you can only cancel (void) checks from the resulting bank ledger entries.
Managing Payables
Setting Up Banking
How to: Export a Positive Pay file
Working with Dynamics NAV
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