steve 4783cf8953 Restrict write-action UI to editor+ role for checks and deposits
Viewers can no longer see New Check, New Deposit, Import .mdb, or
Import QBO buttons. Deposit row Edit/Delete buttons are also hidden
for viewers, matching the existing behavior on check rows.
2026-03-19 16:32:03 -06:00
2026-03-12 22:13:52 -06:00
2026-03-12 22:13:52 -06:00

check-printing

Self-hosted web app for printing checks and bank deposit slips. A containerized Node.js web app accessible on the local network.

Stack

  • Runtime: Node.js 20
  • Framework: Express 4
  • Database: SQLite via better-sqlite3
  • PDF generation: PDFKit with embedded GnuMICR E-13B font (GPL-2.0)
  • Frontend: Vanilla JS, no framework
  • Container: Docker Compose pulling from Docker Hub

Getting started

Production (Docker)

docker compose pull
docker compose up -d

On first launch, the app detects no users are configured and opens a setup wizard in the browser. Create the first admin account, then configure checkwriter info, bank info, and account/routing numbers. If you have an existing ezCheckPrinting .mdb file, click Import .mdb instead.

Development (local)

npm install
npm run dev        # nodemon src/app.js

Authentication and user roles

All access requires login. The first run prompts you to create an admin account.

Three roles are available:

Role Access
admin Full access to all accounts; create/edit/delete users and accounts
editor Read and write access to assigned accounts
viewer Read-only access to assigned accounts

Admins have editor access to all accounts automatically. Non-admin users are assigned per-account roles individually. User management is available in the Users panel (admin only). Any user can change their own password from the account menu.

Multi-account support

The app supports multiple checking accounts in a single instance. Each account has its own check ledger, deposit records, and layout configuration. Admins can create, edit, and delete accounts. Deleting an account removes all associated checks, deposits, and layout data.

Printing

  1. Select 13 checks from the ledger (checkbox column)
  2. Click Generate PDF
  3. A 3-up 8.5"×11" PDF opens in a new tab — three 3.5" check slots per page
  4. Print from the browser; checks are marked as printed in the ledger

Use the Reprint button on printed checks to regenerate without re-marking them.

Multi-page PDFs are supported when more than 3 checks are selected.

Deposit slips

Switch to the Deposits tab in the toolbar to manage bank deposits.

  1. Click + New Deposit to open the deposit entry panel
  2. Enter the deposit date, currency, coin, and cash back amounts
  3. Add each check being deposited (check number, payee, memo, amount) — totals update live
  4. Click Save Deposit, then Deposit Slip or Report to generate a PDF

Deposit Slip generates a precisely positioned 3.375" × 8.5" PDF matching physical bank deposit slip stock, including:

  • Style A background (form lines and labels drawn server-side — no preprinted stock required)
  • Digit-column amount formatting
  • Routing/account line in E-13B magnetic ink character recognition font, rotated 90°
  • Rotated deposit total and check count in the left margin

Deposit Report generates a plain formatted ledger document listing all checks, cash totals, and the final deposit amount — suitable for filing.

Generating a deposit slip marks the deposit as printed in the ledger.

Importing from QuickBooks Online (QBO CSV)

Checks and deposits can be imported from a QuickBooks Online CSV export. Click Import QBO CSV in the toolbar, select the file, choose whether to import checks or deposits, and review the parsed records before confirming.

The importer handles:

  • Standard QBO export column layouts (Date, Transaction Type, Num, Name, Memo/Description, Amount, Debit, Credit)
  • Automatic type filtering — checks are matched by transaction type Check, deposits by Deposit
  • Duplicate detection — existing check numbers are skipped
  • Auto-assignment of check numbers when the source CSV has no Num value
  • Grouping of deposit rows by date into individual deposit records

Importing from ezCheckPrinting (.mdb)

Two ways to import:

Via the UI (recommended): Click Import .mdb in the toolbar, select the file, and click Import. The server runs the migration and shows the log output.

Via CLI (inside the container or locally with mdbtools installed):

docker exec -it check-printing node migrations/import-mdb.js \
  --file "/app/data/YourAccount.mdb"

# Preview without writing:
node migrations/import-mdb.js --file YourAccount.mdb --dry-run

The script imports account config (T100), logo (Settings), check layout (T200), and check history (T104).

Check layout

  • Page: 8.5" × 11", zero margins
  • Three check slots of 3.5" each; remaining ~0.5" is tear-off strip
  • MICR line at 0.267" from bottom of each slot
  • MICR format: A{routing}A {account}C {checkNo}A (GnuMICR E-13B encoding)

Environment variables

Variable Default Description
PORT 3000 HTTP port
DB_PATH /app/data/check-printing.db SQLite database path
SESSION_SECRET (random) Secret for signing session cookies — set explicitly in production
S
Description
No description provided
Readme 296 KiB
Languages
JavaScript 78.2%
HTML 13.7%
CSS 8%
Dockerfile 0.1%