Checkwrite Schedules

The release of funds is normally the second Monday after the check write (remittance advice) date. Please verify direct deposit status with your bank. As always, the release of direct deposit and checks depends on the availability of funds.  For checkwrite schedules prior to FY 2019, please contact the Agency's Fiscal Agent Liaison Office, (334) 242-5559.

October 1, 2021 December 24, 2021 March 18, 2022 June 17, 2022 September 9, 2022
October 15, 2021 January 7, 2022 April 1, 2022 July 1, 2022 September 16, 2022
October 29, 2021 January 21, 2022 April 15, 2022 July 15, 2022  
November 12, 2021 February 4, 2022 May 6, 2022 July 29, 2022  
November 26, 2021 February 18, 2022 May 20, 2022 August 12, 2022  
December 10, 2021 March 4, 2022 June 3, 2022 August 26, 2022  

Fiscal Year 2021

October 2, 2020 January 1, 2021 April 2, 2021 July 9, 2021
October 16, 2020 January 22, 2021 April 16, 2021 July 23, 2021
November 6, 2020 February 5, 2021 May 7, 2021 August 6, 2021
November 13, 2020 February 19, 2021 May 21, 2021 August 20, 2021
December 4, 2020 March 5, 2021 June 4, 2021 September 3, 2021
December 11, 2020 March 19, 2021 June 18, 2021 September 10, 2021
October 4, 2019 January 3, 2020 April 3, 2020 July 3, 2020
October 18, 2019 January 17, 2020 April 17, 2020 July 17, 2020
November 1, 2019 February 7, 2020 May 1, 2020 August 7, 2020
November 15, 2019 February 21, 2020 May 15, 2020 August 21, 2020
December 6, 2019 March 6, 2020 June 5, 2020 September 4, 2020
December 13, 2019 March 20, 2020 June 19, 2020 September 11, 2020
October 5, 2018 January 4, 2019 April 5, 2019 July 5, 2019
October 19, 2018 January 18, 2019 April 19, 2019 July 19, 2019
November 2, 2018 February 1, 2019 May 3, 2019 August 2, 2019
November 21, 2018 February 15, 2019 May 17, 2019 August 16, 2019
December 7, 2018 March 1, 2019 June 7, 2019 September 6, 2019
December 14, 2018 March 15, 2019 June 21, 2019 September 13, 2019