This activity is used to create customer repayment check payments and to print repayment checks.
This activity requires that a customer payment order for check payment has been created.
As a result of this activity, a check payment is created. The status of the check created depends on:
When Use Interim Cash Account when Cashing on Due Date check box in the Payment Documents window in selected for customer repayment checks:
| Transfer to Report Archive check box | Print check box | Description of system effect | Check Status | 
| Selected | Selected | Check will be printed as well as transferred to the report archive | Printed | 
| Selected | Cleared | Check will be transferred to the report archive, but not printed | Printed | 
| Cleared | Selected | This combination is not possible | |
| Cleared | Selected | This combination is not possible | 
When Use Interim Cash Account when Cashing on Due Date check box in the Payment Documents window is cleared for customer repayment checks:
| Transfer to Report Archive check box | Print check box | Description of system effect | Check Status | 
| Selected | Selected | Check will be printed as well as transferred to the report archive | Cashed | 
| Selected | Cleared | Check will be transferred to the report archive, but not printed | Cashed | 
| Cleared | Selected | This combination is not possible | |
| Cleared | Selected | This combination is not possible | 
Customer Payment Orders
Print and Create Check Repayment