Some states have requirements for processing unclaimed property. Check with your state and local government to verify how to process unclaimed funds.
Choose an option below to handle the outstanding items.
Enter an adjustment in Cash Management to reverse the original entry and reconcile both. Verify with your accountant about what accounts to use for the adjustment.
Make a correcting entry in the application of origin.
For Accounts Payable checks, determine if you’ll need to restore the invoice and issue a new check or not. Void the check using Specific Date. If you need a replacement check, print a new check.
For Payroll checks, refer to the following articles to determine which is appropriate for your situation:
Void the cash receipt in Accounts Receivable.
Void the cash receipt in Property Management.