You use this program to generate a report of ledger entries for payment transactions created within the AR Payments and Adjustments and SO Counter Sales programs.
The report reflects details of the sub-module transactions posted to the GL Journal, grouped by the GL journal number. It is generated from the ledger journals created by the AR Payments GL Integration program and serves as an audit trail of Accounts Receivable payment transactions processed.
The report can be run at any time and as often as required.
Field | Description | ||||||
---|---|---|---|---|---|---|---|
Report options | |||||||
Report type | Indicate the type of report to
generate.
|
||||||
Entry selection | |||||||
Entry selection by: | Indicate whether to generate the report for a specific
set of journals or a set of distribution
entries.
|
||||||
Current GL period | This indicates the period and year that your General Ledger module is currently in. It is displayed for information purposes only and cannot be changed. |
Selection | Description | ||||||
---|---|---|---|---|---|---|---|
Ledger period |
|
||||||
GL journal |
Indicate the ledger journal number(s) to print. This selection is only enabled when your Entry selection is by Journal. |
||||||
Ledger entries group | Indicate the entry group(s), within the selected periods
and years, for which to generate the report. This selection is only enabled when your Entry selection is by Entries group. |
||||||
Ledger code |
Indicate the General Ledger codes for which the report must
be generated. Only the distribution entries for the General Ledger code(s) you select are printed. |
These options enable you to apply a theme to the report and to define multiple output destinations for the report once it has been compiled (SRS Output Options).
If you posted all your Accounts Receivable ledger journals to the General Ledger, then you can use this report together with the AR Sales Distribution report to assist in balancing Accounts Receivable to the General Ledger when discrepancies exist.
The word Multiple is printed against an entry if more than one General Ledger code exists for the journal entry. You can view the transaction details for the entry on the AR Cash Journal. The Mult wording is printed when you paid customers linked to different branches (linked to different control accounts).
All journals/entries (whether previously printed or not) are included in the report according to the report options indicated. The Reprint column on the report indicates whether the journal/entry was previously printed.
This report cannot be generated if your Accounts Receivable integration method is set to Not linked to G/L - no distribution report (General Ledger Integration).