b1Bank Treasury Management User Guide

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PosPay/Reporting Daily Checks Issued Summary

Generate an issued checks report using the selection criteria.

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Click the Transaction Reports tab, then Daily Checks Issued Summary . 1. By default, all assigned accounts are included in the report, or you can choose specific accounts to include. 2. Enter an issued date range. 3. Click the Search button when you are finished.

PosPay/Reporting: Daily Checks Issued Summary

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