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Field List

Using Reverse Transactions

Reversing a Paycheck with Reverse Transactions

ClosedBefore you start

If system security is turned on, you must be assigned to a user group authorized to reverse payments.

To reverse a paycheck

  1. Select Payroll > Reverse Transactions.
  2. Enter header information about the reversal in the following fields.
    • Source Application. Select Canadian Payroll.
  3. To reverse a single paycheck, identify it by filling in the following fields:

The Employee Number field displays if you selected payroll as the source application. If you are reversing a single transaction, enter the code for the employee whose check you are reversing.

The Check/Payment No. field displays if you are reversing a vendor payment, a customer refund, or a payroll check. If you are reversing a single payment, use the Finder to select the check or payment number.

After you specify a payment, the program displays the date and the amount of the transaction. To view the transaction in the original transaction entry form, click the Drilldown () button.

If you are reversing a range of paychecks

  1. ClosedSpecify selection criteria to identify the payments to reverse.

    Use the From and To fields to specify ranges of document numbers, dates, amounts, currencies, and employees.

  2. Click the Go button () to list the payments that meet the criteria.
  3. Use the table, as follows, to specify the payments to reverse:
  4. Click Post to update the bank account balance, and send the reversal information to your Payroll program.

ClosedAfter reversing a paycheck

In Canadian Payroll: