The REMCHQ report is used to print the check deposits of a company in order to transmit them to the bank with the payments.
This report is accessible from the print management menus attached to the BPs (Print and Print\group).
This report is also accessible in direct print from the deposit entry menu in the "File/Print" menu bar.
Parameter |
Parameter title |
Type |
---|---|---|
societe |
Company |
|
bank |
Bank |
|
sitedeb |
Site range |
|
bordeb |
Range of remittances |
|
impselections |
Print selections (Local menu No, Yes) |
The data is filtered by site according to the rights granted to the user on the function GESFRM (Manual remittance entry).
The REMCHQ report prints the check deposits. A check deposit corresponds to each page.
For each check deposit, the REMCHQ report displays:
For each check to be deposited, the report shows:
A the end of the print, the REMCHQ report mentions on a line: