Direct Deposit File Register Report
Use this report, during a pay cycle, to print the history for the direct deposit files that were created using the Direct Deposit module. This report is comprised of the processing group code, Employee ID, pay date, payroll type, settlement date, routing number, account number and type, amount, and whether the file was sent to your financial institution.
In order to view the Bank Account field, you must have been granted "Display Sensitive Data" rights for Maintenance>Accounts Payable>Vendors. These rights are granted by the Administrator by going to Administration>Users>Manage Users, selecting the "Accounts Payable" module, scrolling down to the "Maintenance" section and selecting the checkbox under "Display Sensitive Data".
You can choose to use the report as-is by clicking or , or make edits to the report by clicking .
Tip: If you're not familiar with the MIP Cloud Report Builder interface, see Report Builder for an introduction.
If you choose to make edits to the report, the Report Builder page will display. From this page, use the Setup tab to choose the columns you'd like to appear on the report. You can rename the columns under Column Heading.
Current Transaction dates are required to specify the date range for data included in the report. Enter these dates on the Setup tab.
The following fields are available to include in the report:
Processing Group Code |
This is the processing group code that was set up for the employee using the Payroll>System Setup>Employee Information>Employee Record form. |
Employee ID |
The employee's ID. |
Employee Last Name |
The employee's last name. |
Employee First Name | The employee's first name. |
First, MI Name |
The employee's first name and middle initial. |
Employee Name |
The employee's full name, including the middle initial. |
Employee Status |
The status of the employee - Active, Inactive, or Terminated. |
Social Security Number |
The social security number. Note that only the last four digits of the number display.
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Payroll Type |
The payroll type - Adjust, Manual, Regular, Supplemental, or Void. |
Class |
The employee's class, such as Admin or Staff. |
Voucher Email Address |
The employee's email address for voucher emails (see Employee Profile). |
Pay Date |
The date on the Payroll voucher. |
Document Date |
The date the direct deposit file was created. |
Voucher Number |
The voucher number assigned during payroll processing (see Print and Email Checks and Vouchers). |
Routing Number |
The bank routing number for the employee's account. |
Account Number |
The employee's bank account number in which the direct deposit file is transmitted.
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Account Type |
The account type the funds are deposited into - either a checking or savings account. |
Amount |
The amount deposited into the employee's account. |
Sent |
A designation of Yes or No, depending on if the direct deposit file has been sent to the bank. |
Use the Filter tab to narrow down and define the data using the available filters.
Use the Options tab to Summarize Amounts on the report, to implement security features, and more.
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Select "Summarize Amounts" to add amounts together and display one line item with the total amount. All document information must be identical for the system to add items together
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You can secure the report so that other users cannot save their changes to it. This option can only be undone by the user that locked the report.
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Select the "Year End Adjustments" option to include year end adjustments on the report. This entry type was designated during transaction entry.
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Select the "Replace total debits and credits with Balance" option to show the net amount for each segment where totals have been requested. Otherwise, the report displays the total debits and total credits for each segment.
Use the Layout tab to change the font and page setup for a report.