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==Overview==
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== Overview ==
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Selecting the Banking Reports icon will open the Report Selector menu displaying the list of Banking related reports.
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==== How to Use Banking Reports  ====
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*Select Banking
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*Select Banking Reports
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==== Banking Reports Detail  ====
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*Accounts Payable Report&lt;LinkId=1245&gt; - List of all Accounts Payable
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*Accounts_Receivable_Report&lt;LinkId=48&gt; - A detailed report of all accounts receivable with filters for Summary, Details and Extra Details
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*Balance Sheet&lt;LinkId=23&gt; - Full Balance Sheet
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*Bank Account Report&lt;LinkId=60&gt; - Full listing of postings to each bank account for a selected period including whether the transaction has been reconciled
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*Budget List&lt;LinkId=267&gt; - A list of all budgets created with filter for Active or Inactive
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*Cash Flow Forcast - Projection of future cash flow based on current creditor and debtor balances. e.g. What monies are due to be received/paid in the next week/month/quarter/year
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*Cash Flow Statement - Summary of monies received and paid out up to a nominated date with option for Details including transaction types
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*Cheque List&lt;LinkId=55&gt; - List of all cheques
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*Deposited List&lt;LinkId=53&gt; - List of Bank Deposits<br>General Ledger - Transaction list by Account with filters for different detail levels
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*Profit and Loss&lt;LinkId=17&gt; - Full Profit &amp; Loss Report
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*Profit and Loss (By Period) - Profit and Loss with comparisons by period (Month, Quarter or Year)
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*Profit and Loss Summary - Profit &amp; Loss by week, month etc.
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*Reconciliation List&lt;LinkId=59&gt; - List of completed and Held reconciliations
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*Reconciliation List (Details) - List of reconciliations with transaction details
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*Statements&lt;LinkId=187&gt; - List of items to appear on current statements
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*To Be Reconciled - List of unreconciled items
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*Transaction Journal - List of transactions with details of each account posting

Revision as of 11:17, 27 February 2011

Overview

Selecting the Banking Reports icon will open the Report Selector menu displaying the list of Banking related reports.

How to Use Banking Reports

  • Select Banking
  • Select Banking Reports

Banking Reports Detail

  • Accounts Payable Report<LinkId=1245> - List of all Accounts Payable
  • Accounts_Receivable_Report<LinkId=48> - A detailed report of all accounts receivable with filters for Summary, Details and Extra Details
  • Balance Sheet<LinkId=23> - Full Balance Sheet
  • Bank Account Report<LinkId=60> - Full listing of postings to each bank account for a selected period including whether the transaction has been reconciled
  • Budget List<LinkId=267> - A list of all budgets created with filter for Active or Inactive
  • Cash Flow Forcast - Projection of future cash flow based on current creditor and debtor balances. e.g. What monies are due to be received/paid in the next week/month/quarter/year
  • Cash Flow Statement - Summary of monies received and paid out up to a nominated date with option for Details including transaction types
  • Cheque List<LinkId=55> - List of all cheques
  • Deposited List<LinkId=53> - List of Bank Deposits
    General Ledger - Transaction list by Account with filters for different detail levels
  • Profit and Loss<LinkId=17> - Full Profit & Loss Report
  • Profit and Loss (By Period) - Profit and Loss with comparisons by period (Month, Quarter or Year)
  • Profit and Loss Summary - Profit & Loss by week, month etc.
  • Reconciliation List<LinkId=59> - List of completed and Held reconciliations
  • Reconciliation List (Details) - List of reconciliations with transaction details
  • Statements<LinkId=187> - List of items to appear on current statements
  • To Be Reconciled - List of unreconciled items
  • Transaction Journal - List of transactions with details of each account posting