Positive Pay allows you to create a file that is sent to your bank containing the date of the payment, check number, and payee (and any other data your bank requires). The bank verifies that the data in the positive pay file matches the check presented to them before they will process it. This is used to prevent fraud and illegal changes made to the amount of the check.
To use this feature
- Contact your bank and to request this service (Not all banks will offer this)
- Request file specs from the bank and submit (JIRA) to Genesis with the file specs attached so it can be programmed
- Setup the positive pay settings in each bank account - instructions below
- Run the positive pay file for any check processing and submit to your bank - instructions below
Set-up page for Positive Pay
Go to Financial > Setup > Bank Accounts and click on the Properties button for the bank account for which you wish to add positive pay. Select the Positive Pay File Format that was created for your bank from the drop-down. If needed, also enter the Positive Pay Bank ID / Company Code. Do this for each bank account for which you will use positive pay.
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