This section is for those of you who have completed the year-end steps checklist before or for those of you who want a really short summary of the steps that you're about to complete. If you open the PDF on your computer, you'll find a short paragraph or two to explain each step. If you need additional instructions, there's a link in each section that will take you to more detailed instructions.
What if this is my first time closing the accounts payable year?
If this is your first time completing the year-end steps checklist, follow the instructions in the Accounts Payable Year-end Checklist and watch the Accounts Payable Year-end Webinar. The easiest way to follow the instructions is to use a second monitor to display the Accounts Payable Year-end Checklist so you can use your primary monitor to run Connect Accounts Payable.
What if I need additional assistance? Contact customer support at (800) 228-9851 to request one on one assistance for your organization.
Before you begin the Accounts Payable Year-end Checklist, you’ll need to perform these tasks. [More]
There are no changes to the IRS 1099 Forms for 2024. [IRS Tax Forms Reference Sheet] [Adobe Reader]
You should be running the 2024.11.141 release or later.
If you have 10 or more information returns (1099s + W-2s + 1095s) to file, you will need to file electronically. Make sure you have access to the IRS Filing Information Returns Electronically (FIRE) website [FIRE]; you have an active TCC that is less than 3 years old; and you are running the Connect Create Electronic 1099 File module. [More]
File Information Returns Electronically (FIRE) website: https://www.irs.gov/e-file-providers/filing-information-returns-electronically-fire
There are no changes in 2024 to the steps checklist. if you downloaded the 2024 XML, you can skip this step. [XML] [PDF]
Before you start the Accounts Payable Year-end Checklist, make sure all checks that will be issued in the 2024 calendar year have been issued because the 1099 balances run on a calendar year basis. You're 1099 amounts will be off if you start this process before all of the checks have been issued for the 2024 calendar year.
Print and review the vendor list. The vendor list should include all vendors who were paid during the tax year. Make sure the vendor information that prints on the vendor list is correct. If you notice any issues (wrong information, typos, etc.), mark the corrections on the report. You'll need to enter the correct vendor information in Steps 3a and 3b. [More]
Verify all invoice and check transactions have been posted to Connect General Ledger. Running Checkout will not affect 1099 balances.
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Use the 1099 Reconciliation Report to print invoice and check information for 1099 type vendors and to verify 1099 totals. You need to make sure all 1099 vendors appear on the report and all 1099 invoices are correct. In step 3, you will reconcile the 1099 vendor total to the 1099 invoice total. When you're done, the grand total on the 1099 Reconciliation Report - All 1099 Vendors should match the grand total on the 1099 Reconciliation Report - All 1099 Invoices.
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Print the 1099 reconciliation reports, and then use the reports to review the invoices and vendors. If a vendor is missing from the 1099 reconciliation report, you should verify the vendor's 1099 type, 1099 ID, and recipient information. If the invoices are not correct, continue to step 4 to correct 1099 amounts. [More]
First, print the 1099 reconciliation report - all 1099 vendors
Second, print the 1099 reconciliation report - all 1099 invoices
Third, verify reconciliation reports
If a 1099 vendor wasn't included on the 1099 Reconciliation Report, you may need to check the 1099 vendor information that's saved in the vendor record. The 1099 Reconciliation Report will only include a 1099 vendor if the 1099 vendor type is selected. If the 1099 vendor type is set to none, the vendor won't be included on the 1099 Reconciliation Report - All 1099 Invoices. Changing the 1099 vendor type to any 1099 type except None will fix this issue.
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When you review the 1099 Reconciliation Report, you may find invoices for 1099 vendors that show the wrong invoice amount or 1099 type. You can use Adjust 1099 Balances to correct the invoice amount and 1099 type. You can also use this routine to change the 1099 type to none and remove 1099 amounts from a non-1099 vendor.
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If you made any changes to the 1099 vendor information, you'll need to reprint the 1099 Reconciliation Report - All 1099 Vendors and the 1099 Reconciliation Report - All 1099 Invoices. The grand total on the 1099 Reconciliation Report - All Vendors should match the grand total on the 1099 Reconciliation Report - All 1099 Invoices. In addition to the summary by type section at the end of the report.
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This step is optional.
Save the vendor history report for each vendor for your records. You can print the vendor history to paper or save it as a PDF (recommended). If you do choose to print the report, you should know this is a very large report. It includes vendor information, invoice detail for every invoice, check detail for every check, requisition detail for every requisition, and purchase order detail for every purchase order.
Another option is to print the Vendor History Report only for some vendors and not others. For example, you may need to keep a history of the transactions that you've had with a vendor for later.
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Good job! You've cleaned up the 1099 vendors and invoices and now you're ready to print the 1099 forms. The following steps use the Government Reporting application to convert 1099 information and print 1099s.
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Use the conversion report to review the converted 1099 vendors, 1099 amounts, and 1099 ID numbers. This is important because this is the information that will print on the Form 1099.
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Verify the organization's contact information, Federal ID number, 1099 limits, and electronic 1099 file (if the organization will create an electronic 1099 file).
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If you are filing electronic 1099s, fill in the information on the Electronic Filing tab. Organizations filing 10 or more 1099s are required to file electronic 1099s.
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Verify the converted year-end tax data in the 1099 Recipients table and then run Checkout 1099 Recipients to search for errors in the 1099 recipient records.
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You've reviewed the 1099 recipients and you're ready to print the sample 1099s to plain paper. Printing to plain paper gives you an opportunity to check if the right 1099 information prints for the 1099 recipient in the right box on the right 1099 form.
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If you find errors on the sample 1099s that printed to plain paper, you will need to make corrections. Where you choose to make the correction will determine which step comes next.
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Use the same settings that you used to set up the sample 1099s (Step 10: Print sample 1099s to plain paper) to set up the report to print final 1099s. This is important because you may have made changes to the form alignment and you want to use those changes to print the final 1099s.
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If you're filing electronically, you will need to print a 1099 Form to send to the vendor. Instead of ordering pre-printed 1099 Forms, you can use the Caselle Printable 1099 Form to print the 1099 Form to plain paper, which you can use to send to the vendor.
You can mail a printable form to a recipient to take the place of an actual 1099 Form. Printable forms should only be used if you are filing electronically with the IRS. You are required to file electronically if you are filing more than 10 information returns.
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If you are filing 10 or more information returns, you will need to file electronically.
Step 12. Create electronic 1099 file
Step 12a. Select tax year and file path
Step 12b. Enter Transmittal Control Code (TCC)
The next step is to change the current year in the Accounts Payable application to the new tax year.
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Back up the Accounts Payable (AP0) and Government Reporting (GR0) databases before you continue. A general rule of thumb is to always back up the database BEFORE running routines that modify or delete transactions.
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Steps 15-18 will show you how to delete history. You do not need to delete any history if you prefer to keep all of transactions created by the Accounts Payable application.
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Step 15. Print an Aging Report
Step 16. Print an Open Purchase Order Report
Step 17. Print a Pending Requisition Status Report
Step 18. Run Delete History (Optional)
Step 18a. Reprint reports (steps 15-17)
202411, 2024Dec13
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