Void Payments in Fund Management

Void Payments in Fund Management allows users to void checks. To void a check, users will need to know the Bank and Payment Date of the check to be voided.

  • Select a bank from the Bank drop-down list to display all outstanding checks for the bank. Checks already cleared under Bank Reconciliation will not show for void.

  • Select either Vendor or Employee to Process By.

  • Select either Check/EFT or ACH for Process Method.
  • Enter or select a Payment Date using the Calendar feature.
  • Check the blank checkboxes to select the Payments to be voided, or check the blank checkSelect box to select all.
  • Enter or select the Void Date using the Calendar feature. Users cannot void payments that have a Void Date in a closed month.
  • The Reinstate Invoices check box is checked by default. Uncheck the box if you do not want to reissue the check.
    • The transaction history entries related to the reinstated invoice will post using the void date, not the original invoice date.
    • When a check is voided and the invoices are reinstated, an (R) will be added to the end of the reinstated invoice number.

    • If the Reinstate Invoices check box is checked for Check/EFT (check box is not available for ACH), then the message will display: 'X Payment will be voided. Invoice will be reinstated.'
    • On ACH process methods, where the Reinstate Invoices check box is not available, then the message will display: 'X Payment will be voided.'
  • Click the void selected button to void the selected payments.

 

 

 

 


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School LINQ Help, updated 01/2021