Understanding Check Templates in Sage 100
Before making any changes, it's essential to understand that Sage 100 uses form codes to manage different check printing formats. The default "Standard" form code does not retain any modifications, so creating a custom form code is necessary for permanent changes.
Creating a New Form Code
Initial Setup Start by creating a new form code rather than modifying the Standard template. This approach ensures your changes are preserved for future use. The process begins in the Check Printing module:
- Navigate to the Check Printing setup screen
- Enter a unique form code name in the Form Code field
- The Template Selection window will automatically appear
Template Selection When creating a new form code, you'll be presented with template options. Choose a base template that most closely matches your desired format. This serves as your starting point for customization.
Configuring Check Layout Options
Basic Layout Settings The check layout can be configured in multiple formats:
- Check-Stub
- Stub-Check-Stub
- Check-Stub-Stub
Print Format Options You can customize various aspects of the check printing format:
- Multi-Part Form settings
- ANSI format options
- Distribution information
- Remittance information
Advanced Customization Using Crystal Reports Designer
Designer Access For more detailed customization:
- Select your form code
- Click the Designer button (requires Crystal Reports Designer installation)
- Make necessary modifications to the template
Saving and Testing
Save Configuration After making changes:
- Save the new form code with your preferred settings
- Set it as the default for the relevant bank code
- Verify all settings are correctly saved
Test Printing Before using the new template for actual checks:
- Print a test check on plain paper
- Verify alignment using the measurement grid
- Make necessary adjustments
- Repeat until properly aligned
Bank Code Integration
Bank Code Settings Each bank code can have its own default form code:
- Access Bank Code Maintenance
- Assign the new form code as the default
- Verify settings for each relevant bank account
Paperless Office Integration
Digital Output Options The new template can be configured for various output methods:
- PDF generation
- Email delivery
- Fax transmission
- Electronic payment processing
Security and Access Control
User Permissions Ensure proper security settings:
- Verify user access rights
- Set appropriate permissions for template modification
- Document any changes made to the template
Troubleshooting Common Issues
Alignment Problems If check alignment is incorrect:
- Use the measurement grid
- Count grid squares for necessary adjustments
- Make incremental changes until aligned properly
Printing Issues For optimal printing results:
- Install the latest Adobe Reader
- Use Google Chrome as the default browser
- Set browser zoom to 100%
- Verify printer settings are correct
Best Practices
Template Management Follow these guidelines for optimal template management:
- Create descriptive form code names
- Document all modifications
- Maintain backup copies of custom templates
- Regular testing of templates
Version Control Maintain proper version control:
- Date all template modifications
- Keep records of changes made
- Test thoroughly after updates
Technical Requirements
System Prerequisites Ensure your system meets these requirements:
- Latest version of Adobe Reader
- Updated browser version
- Proper printer configuration
- Crystal Reports Designer (for advanced modifications)
Maintenance and Updates
Regular Maintenance Perform these maintenance tasks:
- Regular template testing
- Periodic alignment checks
- Update settings as needed
- Verify compliance with banking requirements
Professional Considerations
Business Requirements Consider these factors when modifying templates:
- Company branding requirements
- Banking regulations
- Security features
- Processing efficiency
Integration with Other Modules
Module Compatibility Ensure template changes work with:
- Accounts Payable
- Payroll
- Electronic payment systems
- Bank reconciliation modules
Future Considerations
Scalability Plan for future needs:
- Multiple bank account support
- Different check stock types
- Changing business requirements
- Regulatory compliance updates
Documentation and Training
Process Documentation Maintain detailed records of:
- Template modifications
- Configuration settings
- User procedures
- Troubleshooting steps
This comprehensive approach to changing check templates in Sage 100 ensures a smooth transition and proper functionality for your check printing needs. Remember to always test thoroughly before implementing changes in a live environment and maintain proper documentation for future reference.
Citations: [1] https://communityhub.sage.com/us/sage100/f/core-financial-modules/154359/check-printing-setup-stub-check-stub-sage-100 [2] https://help.sbc.sage.com/en-us/start/settings/check-printing-settings.html [3] https://www.acutedata.com/how-to-modify-payroll-check-and-direct-deposit-stubs-in-sage-100/ [4] https://www.erpvar.com/sage-100cloud-erp-consultant-blog/bid/94736/sage-100-erp-sage-mas-90-v-4-5-how-to-create-new-check-form-code [5] https://help-sage100.na.sage.com/2018/Subsystems/AP/APCHECKFIELD/Check_Printing_-_Fields.htm