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  • Checks to be Deposited (CHQSAI - SIGAFIN)

This report lists the checks pending deposit, by supplier, issue and maturity date.



Procedures:

To issue the report of checks to be deposited:

1. In the issue window of the report "Checks", click on "Parameters".

The system displays the window with the parameters related to the report.

2. Parameters in this routine present self-explanatory filling.

3. Check the information and confirm it.

4. Then click on each folder displayed in the report generation window to configure printing.

In these folders, it is possible to select the print type (to disk, through spool, etc.), define the fields in the file to be displayed in the report, create filters for generation, etc.

5. Check the configuration and confirm printing of the report.

  


See Also