Local Checks Rules

  • Vendors must be approved for Generate Checks by Accounting.
  • Vendors that are approved for Generate Checks have dollar amount limits set by Accounting.
  • Vendors must be in an Accepted status in the Vendor Master.
  • Vendor must not be on Payment Hold.
  • Users must have permission to the Generate Checks button.
  • Users must be approved to use Check Books by Accounting.
  • Users that are approved for Check Books have per Check and per Day dollar limitations.
  • Check Book choices in Generate Check screen are limited by the Port Call Office (Check Book setup) and by the Disbursement Banks defined in the Principal Master (AR Parameters).
  • For Vendors that are approved to receive Generate Checks the Service Items must be in a Workflow Status of “Service Request Not Sent”, “Vendor Accepted”, or “PO…”.
  • Payments can only be made for the Service Item estimated amount or less.
  • Principal Funding rules will apply to Generate Checks.
  • Once Vendor Invoices have been received by Accounting Generate Checks are no longer allowed for those Service Items.