User Tools

Site Tools


pub:definecheck

Differences

This shows you the differences between two versions of the page.

Link to this comparison view

Both sides previous revisionPrevious revision
Next revision
Previous revision
pub:definecheck [2019/03/05 17:10] – [Define a Check Application] kkramerpub:definecheck [2025/10/29 21:49] (current) – [Checks Applications] kkramer
Line 59: Line 59:
 </pre></html> </pre></html>
  
-===== Work with Checks =====+===== Checks Applications ===== 
 +<html><pre> 
 + 10/29/25                                                             FM0465C3   
 + 20:21:37                Define a Check Application                   KKRAMER    
 +                                                                                 
 + Check Application. . . . . .   CGC111PCI ACCOUNTS PAYABLE CHECK(L)              
 + Check Size . . . . . . . . .      2  Letter(8 1/2 x 11 in.)             F4=List 
 + Collate(Y/N). . . . . . . . . . . Y     Use Mapped Fields Only (Y/N). . . Y     
 + Page Orientation. . . . . . P   F4=List Pages per Overlay (1-9) . . . . . 1     
 + Front Map File. :               F4=List Back Map File . . :             F4=List 
 + X adjustment value. . . . . . . .     Y adjustment value. . . . . . . .     
 +<font  color="#FF0000"> Removable Check Secure (Y/N) . .  N     Color Output  . . . . . . . N   F4=List 
 + Signature on Zero $ Check (Y/N) . Y     Select Bank by User Data (Y/N) .  Y </font>    
 +                                                                                 
 +                                                                                 
 + Front Side                     Back Side                Form       Destination  
 + Overlay      Seq Drawer  Merge Overlay            Merge Prompt     Out Queue    
 + F4=List       #  F4=List Data  F4=List     Tumble Data  F4=List    F4=List      
 + APCHKB2.MAC    1                                    *STD                    
 +                                                                                 
 +                                                                                 
 +                                                                                 
 +                                                                        More...  
 + F1=Help   F2=Data Map   F3=Exit   <font  color="#FF0000">F5=iCheck</font>   F7=Footer   F8=Mapped Fields      
 + F9=Advanced Functions   F12=Cancel   F15=Global Offset   F17=Import Map         
 +                                                                                 
 +</pre></html> 
 +Option **1** allows you to define a check application. The screen is identical to a form application with the addition of the fields and option show in RED. 
 +^ Field: ^ Description:                                                            ^ 
 +|Removable Check Secure    |Removable Security refers to iDOCS modular programmable security device|  
 +|Color Output              |Select from: B/W LJ   PCL 5e;Color LJ PCL 5c; LJ 4500  PCL 5c |  
 +|Signature on Zero Check   |Y' will recognize a zero dollar, blank dollar, or negative dollar amount for a check and not print the signature |  
 +|Select Bank by User Data   |'Y' provides the option to choose the appropriate bank file according to the data entered in the User Data fields of the Spool file attributes. Below is the Bank File Maintenance screen if this option has been selected|
  
-Option **1** allows you to define check application.  Systemically, an iDocs check application is a form application with two specific fields defined:+  
 +<html><pre>   
 + 10/29/25                         iChecks                             FM2511C1   
 + 21:24:01                   Bank File Maintenance                     KKRAMER    
 +                                                                                 
 +                                                                                 
 +  Type option, press Enter.                                                      
 +   1=Select   3=Copy   4=Delete   5=Display   7=Rename                           
 +                                                                                 
 +  Sel  User Data   Company Name                    Account#                      
 +       A/P CHK 07  Test IVEY MECHANICAL Pos Pay    401-07892 2                   
 +       APCHKTEST   TEST DUAL SIGNATURE                /140                       
 +       APCHKTEST   TEST DUAL SIGNATURE                /140                       
 +       APCHK22BAN  A&D CONSTRUCTORS, INC.          0040025330                    
 +       APCHK22BAN  A&D CONSTRUCTORS, INC.          0040025330                    
 +       APCHK22S    A&D CONSTRUCTORS, INC.            /140 109 2                  
 +       APCHK22S    A&D CONSTRUCTORS, INC.            /140 109 2                  
 +       APCHK22STR  A&D CONSTRUCTORS, INC.          0040025330                    
 +       APCHK22STR  A&D CONSTRUCTORS, INC.          0040025330                    
 +       APCHK44     KESSLER FIRE BRICK                 /140 112 2                 
 +       APCHK44     KESSLER FIRE BRICK                 /140 112 2                 
 +       APCHK44BAN  KESSLER FIRE BRICK              0040036189                    
 +       APCHK44BAN  KESSLER FIRE BRICK              0040036189                    
 +                                                                        More...  
 + F3=Exit   F6=Add                                                                
 +</pre></html>                                                                                   
 +   
 +**Note:** Often time spool file generated from an accounting application will have the same User Data for every bank account. Thus, there is no way for the engine to distinguish what bank account information to apply. iChecks provides a reserve field *USRDTA on the Map Field Maintenance to scrape the User data from the spool file to determine the appropriate iChecks Bank Application      
 +   
 +Systemically, an iDocs check application is a form application with two specific fields defined:
  
   * **CHECK#** - the check number   * **CHECK#** - the check number
Line 70: Line 131:
 Greenscreen option 2 is identical to [[defineform | creating a form application ]]. Forms and  Greenscreen option 2 is identical to [[defineform | creating a form application ]]. Forms and 
 checks are segregated on the menu so make certain to use the correct menu option. checks are segregated on the menu so make certain to use the correct menu option.
 +
 +**Note:** A new enhancement on iDocs 8.0 (10/15/24) provides an option to print leading zeros on the check number. 
 +i.e. If the check number is '123456' and you need it to appear as '00123456' on the check output, map the CHECK# field to include the desired number of leading spaces. (In this example as 8 digits instead of the actual spool file value of 6 digits.) Then change the data area **DSCHKZERO** from blank to 'Y'. All related check number mapped data fields matched by the exact map coordinates of CHECK# will also appear on the printed output with leading zeros.   
  
 With both methods, and after mapping upload from iMap to the System i server, you should take With both methods, and after mapping upload from iMap to the System i server, you should take
Line 106: Line 170:
  
   * **Account Number**:  To print the account number in the MICR line enter it here. Include leading zeros.        * **Account Number**:  To print the account number in the MICR line enter it here. Include leading zeros.     
-  * **Positive Pay ID**: If you wish to export the check data to Positive Pay400, enter the Positive Pay application ID. This should be the bank account number entered in the [[definepositivepayapplication | Positive Pay application]]. Leave this field blank if you do not wish to export check data to Positive Pay.                     +  * **Positive Pay ID**: If you wish to export the check data to the Positive Pay Module, enter the Positive Pay application ID. This should be the bank account number entered in the [[definepositivepayapplication | Positive Pay application]]. Leave this field blank if you do not wish to export check data to Positive Pay.                     
   * **Transit Number**: To print the transit number on the MICR line enter it here. Include leading zeros.              * **Transit Number**: To print the transit number on the MICR line enter it here. Include leading zeros.           
   * **MICR Line loc**:  Specify the top, left corner of the MICR line. The general default is x=480 y=3220.   * **MICR Line loc**:  Specify the top, left corner of the MICR line. The general default is x=480 y=3220.
Line 139: Line 203:
   * **F13=MICR**:   * **F13=MICR**:
  
-**Note:** If Removable Check Secure (Y/N) =  Y on the Check Application, both the logo and signature fields will contain the verbiage of 'ID' instead of 'Macro' This 3 digit macro ID is the number assigned when generating the macro with MacMaker.  These macros will be stored on the printer resident "flash" device.  Their ID's will print out each time the flashcard is inserted into the check secure device.     +**Note:** If Removable Check Secure (Y/N) =  Y on the Check Application, both the logo and signature fields will contain the verbiage of 'ID' instead of 'Macro' This 3 digit macro ID is the number assigned when generating the macro with MacMaker.  These macros will be stored on the printer resident "flash" device.  Their ID's will print out each time the flashcard is inserted into the check secure device.   
 +    
 +** Optional MICR line manipulation symbols ** \\ 
 +'**@**' = Suppress leading space  \\ 
 +'**#**' = Insert a space   \\ 
 +'** * **' = Suppress On-Us symbol  \\ 
 +'**!**' = Suppress Transit symbol (before Transit # and the space preceding the On-Us symbol) \\ 
 + 
 +'**&**' = The Transit Number Symbol  \\ 
 +'**/**' = The On-Us Symbol  \\ 
 +'**$**' = The Amount Symbol   \\ 
 +'**-**' = The Dash Symbol 
  
 ---- ----
Line 505: Line 580:
  </pre></html>   </pre></html> 
 At this point, you can exit the Utility Menu. Go to iChecks and select the check application with an option 2 to configure the data map.   At this point, you can exit the Utility Menu. Go to iChecks and select the check application with an option 2 to configure the data map.  
-==== ePayment ==== 
  
-For **[[pub:start#iseries_positive_pay|Positive Pay]]** and **[[pub:start#iach|iACH]]** options, see the appropriate sections of this manual.+===== ePayment ===== 
 + 
 +==== Positive Pay400 ==== 
 +<html>&#091;</html>[[start#positive_pay400 |Go There]]<html>&#093;</html> Positive Pay400 is a positive pay package with full iDoc integration. Checks produced with iChecks are automatically entered into the Positive 
 +Pay database, and the check information is uploaded to the bank for comparison 
 +to the check data from clearing. 
 + 
 +==== iACH ==== 
 +<html>&#091;</html>[[start#iach |Go There]]<html>&#093;</html> Native System i ACH capability. 
  
 <html>&#091;</html>[[start | Up To Index ]]<html>&#093;</html> <html>&#091;</html>[[start | Up To Index ]]<html>&#093;</html>
  
  
pub/definecheck.1551834632.txt.gz · Last modified: 2022/06/25 17:02 (external edit)