[AP} [Crystal Reports/AP] Crystal APY2021- Calling doesn't match output
PeopleTools 8.53, FS/SCM 9.1 (we're upgrading to 9.2 in February)
Our Print Checks Step of the PayCycle points to process Crystal Check APY2021-, which looks like the delivered.
However, our APY2021-.rpt file on the server doesn't look like what gets generated when they print checks. What does look like what gets generated when they print checks is a file called CHECK1.RPT and CHECK2.PRT. Those files show the advice, logo, etc.
So somewhere there's a redirection occurring such that process APY2021- ends up producing the output of CHECK1.RPT or CHECK2.RPT.
Any thoughts on how this is happening? I know in BI Publisher you can do includes which include other reports.