Entering general ledger checks
Entering outstanding checks or bank charges
Setting the default ledger checking account to a new account
1-1 Checks and Bank Charges
Using 1-1 Checks/Bank Charges, you can produce general ledger checks, transfer funds between cash accounts, enter bank charges, and cancel check numbers. When entering a check, you can break down costs by creating separate line items, and you can even post each item to a different ledger account. To pay a vendor, however, you create the check using the 4-3 Vendor Payments window.
Suppose you want to issue a check to a telephone company for last month’s bill. To indicate to Sage 100 Contractor that a check will be printed for the transaction, you type a placeholder consisting of four zeros (0000) in the Check# box. Then when selecting check records for printing, you indicate the check number at which you want to begin printing. As Sage 100 Contractor prints checks, it substitutes the placeholder in the posted record with the appropriate check number.
You can also enter transactions that do not require printed checks. For example, you might issue a hand written check and will not need to print a check. In this case, you enter the check number you issued in the Check# box.
In the grid, you can itemize the expenses and post them to different expense accounts. When you indicate a direct expense account, equipment expense account, or WIP account, Sage 100 Contractor requires you to create a job cost record in the Job Cost Distribution window. Job cost records are maintained in a separate database from the accounting data, and therefore do not impact the general ledger.
Entering general ledger checks
For reference, you can enter the purchase order number in the Order# box.
When you enter a vendor number in the Vendor box, Sage 100 Contractor increases the Vendor 1099 balance by the total amount of the check.
When entering a bank charge, use the bank’s transaction number as the check number. You can also use a dummy number that is outside the check number range, such as 99999, for all bank charges.

- Open 1-1 Checks/Bank Charges.
- In the Account# box, enter the ledger account number for the checking account.
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In the Check# box, type 0000.
When you print the check, Sage 100 Contractor assigns the check number to the record.
If you have already issued the check, enter the check number in the Check# box.
- In the Date box, enter the transaction date of the check.
- In the Description box, enter a brief statement about the transaction.
- In the Status list, click the status of the entry.
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In the grid:
- In the Description cell, enter a brief statement about the item.
- In the Account cell, enter the ledger account number.
- In the Subaccount cell, enter the subsidiary account number.
- In the Debit Amount cell, enter the amount.
- Repeat step 7 for each item that you want to include in the check.
- Click > .
Entering outstanding checks or bank charges
When working with a bank charge, you can type Bank Charge in the Check# box on the 1-1 Checks/Bank Charges window. You can also type it as
Caution! Do not enter a vendor number. It would otherwise affect the Vendor 1099balances. The Vendor 1099 balances are set up later.

- Open 1-1 Checks/Bank Charges.
- In the Account# box, enter the ledger account number for the bank account.
- In the Check# box, enter the check number.
- In the Date box, enter the transaction date of the check.
- In the Description box, enter a brief statement about the transaction.
- In the Status list, click 1-Open.
- In the grid:
- In the Description cell, enter a brief statement about the item.
- In the Account cell, enter the clearing account number.
- In the Debit Amount cell, enter the amount.
- Repeat step 7 for each item that you want to include in the check.
- Click > .
- Repeat steps 3–9 until you have entered all outstanding checks for the account.
Setting the default ledger checking account to a new account

- Open 1-1 Checks/Bank Charges.
- In the Account# box, type the number of the checking account that you want to set as the default.
- Press the Enter key.
- Click in the Account # box, and then press the F7 key.
- On the Field Properties Account# window, verify that the account you want to be the default is in the Default Entry to box, and click OK.
- Close 1-1 Checks/Bank Charges, and then open it again.
- When the window opens, note that the Account# box defaults to the new account.
Printing general ledger checks
You can print general ledger checks from the 1-1 Checks/Bank Charges window. However, you must first complete the check entry process.

- Open 1-1 Checks/Bank Charges.
- Click the Print Records button.1-1 Report Printing opens.
- In the Account box, enter the account number, and click the Print Records button.
- In the Check Printing window, enter a valid check number and a date.
- In the confirmation box, click OK.
- In the Assign/Post Checks window, select Assign Check Numbers, and click Continue.
The check prints.
About reprinting checks
Occasionally a check is misprinted or lost. Sage 100 Contractor provides an easy way to reprint checks without having to enter a new record. You can recall a check record and reassign it a placeholder consisting of four zeros (0000) in the check number box or transaction number box. When you reprint the check, Sage 100 Contractor assigns the record the new check number.
You can reprint a general ledger check using a two-step process. First you locate the check you want to reprint in 1-3 Journal Transactions and change its number. Then you print it from the Report Printing window.
Sage 100 Contractor automatically updates the existing ledger record and associated job cost/equipment records with the new check number when it assigns the new check number to the existing ledger record.
Important! When you reprint a general ledger check, the transaction record remains unchanged, but no record of the original check exists. To maintain an accurate check register, cancel the original check number.

- Open 1-3 Journal Transactions, and select the check record that you want to reprint.
- In the Trans# box, delete the original check number, and type 0000.
- Click > .
- Open 1-1 Checks/Bank Charges.
- Click the Print Records button.1-1 Report Printing opens.
- In the Account box, enter the account number, and click the Print Records button.
- In the Check Printing window, enter a valid check number and a date.
- In the confirmation box, click OK.
- On the Assign/Post Checks window, select Assign Check Numbers, and click Continue.
The check prints.
Canceling check numbers
When you cancel a check number, Sage 100 Contractor creates a record for the check number. Suppose that you accidentally print an invoice on a few check forms. Because you cannot use the forms now, you have to cancel the check numbers.
Important! To cancel a series of check numbers, you must cancel each number through a separate transaction.

- Open 1-1 Checks/Bank Charges.
- In the Account# box, enter the ledger account number for the checking account.
- In the Check# box, enter the check number you want to cancel.
- In the Date box, enter the date.
- In the Description box, enter a brief statement about the transaction.
- In the Status list, click 3-Void.
- Click > .
About voiding checks
When you create an accounts payable, general ledger, or equipment check and save it, Sage 100 Contractor posts the check to the general ledger. You cannot void these checks in the 1-3 Journal Transactions window unless the status is 1-Open. When you do void a check, Sage 100 Contractor assigns the check status 3-Void and adjusts the invoice and vendor balances accordingly. If the check was applied to an invoice and the invoice was closed, Sage 100 Contractor reopens the invoice and adjusts the balance to what is due. Best practices in accounting procedures require that you do not void transactions that have been processed by the bank. Therefore, it is not possible to void transactions with a status of 2-Cleared.
After voiding all payments made to an invoice, you can void the invoice itself. Best practices in accounting procedures require that you do not void transactions that have been processed by the bank. Therefore, it is not possible to void transactions with a status of 2-Cleared.
Important! Except for Accounts Payable payments, you cannot void a transaction in a different period than the one in which it was originally posted.
To void a check:
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Open 1-3 Journal Transactions.
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Using the data control, select the record of the check (Trans#) you want to void.
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Verify that the Status is 1-Open.
If necessary, in the Status drop-down list, change the status to 1-Open.
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On the Edit menu, click Void Transaction.
Payroll checks are processed by Sage 100 Contractor differently from other types of checks. Therefore, you need to void payroll checks through the 5-2-2 Payroll Records window. To void a payroll check, void the timecard record that Sage 100 Contractor used to create the check. This reverses the amounts applied to the employee quarterly totals and year-to-date totals, and voids the job costs.
Voiding general ledger checks from an archived year
The Void Transaction command on the Edit menu is not available for cash transactions posted to archived years. To maintain an audit trail, you must reverse transactions posted to archived years.
To reverse the general ledger check, you enter a reversing transaction, and then clear both the original check and the reversing transaction. This task is in two parts.
Note: Checks and deposits from a prior year can also be cleared in the 1-5 Bank Reconciliation window. For each item you want to clear, select the item, and then click the Clear button.
Part 1—Enter the reversing transaction:
- Open 1-2 Deposits and Interest, and then from the Edit menu, choose Period.
- In the Posting Period window, select the fiscal year, and then double-click 0-Prior Year.
- At the message verifying that you want to use this period, click Yes.
- In the Account# box, enter the account from which the original check was drawn.
- In the Deposit# box, enter the original check number.
- In the Date box, enter the date of the original check.
- In the Description box, enter a brief statement about the transaction.
- In the grid, enter the following information:
- In the Account column, enter the general ledger account that was debited in the original transaction.
- In the Credit Amount column, enter the original amount of the check.
- Click > .
Part 2—Clear the original check and reversing transaction:
- Open 1-5 Bank Reconciliation.
- In the Account# box, enter the bank account number.
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In the Statement Cutoff Date box, enter the date of the transactions.
Note: The date of the reversing transaction should match the original check date.
- Click the Display Items button.
- In the grid, select the original check and the reversing transaction and then click the Clear button.
- Click > .
Finding and resolving unprinted checks when closing the books
When there is a credit to an account in the cash range with a transaction number of 0000 when you are closing the books, Sage 100 Contractor displays a message stating that unprinted checks were found.
Tip: This message is informational only. It does not stop you from closing your books. However, you should resolve the unprinted checks issue.
To find and resolve unprinted checks:
- Open 2-5 General Journals.
- Print the 2-5-21 General Journal report with the following settings:
- In the Account box, use the range for all cash accounts listed in 1-8 General Ledger Setup.
- In the Trans# box, select Equal, and type 0000.
- In the Credit box, select Greater or =, and type $0.01.
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If the transaction is an unprinted check, open 1-1 Checks/Bank Charges, and then click the Print Records button to print the check if desired.
If you don’t need to print a check, open 1-3 Ledger Transactions, and then change the Trans# to anything other than 0000.
Note: If it is a Source 16-Payroll, click on the Go To Source button to change the Check#. It's highly unusual that the check number would have been changed to 0000 unless the pay check had to be reprinted immediately.