The following two (2) reports may be printed:
•Creditor Transaction List - This report lists all the transactions in documents and batches which are posted (updated) to the ledger. All transactions will be listed irrespective of open item links.
•Creditor Transaction List - Open item - This report lists only those outstanding transactions in documents and batches which are posted (updated) to the ledger. If a creditor (supplier) account is set as Open item account (Action → Creditor - Accounting information tab), it will list only those transactions with outstanding amounts. Any debit amounts, which are not linked to credit transactions, should be processed in Action → Open item link.
These reports does not include any opening balances.
To print Creditor transactions List reports:
1.On the Reports ribbon, select Reports → Creditors → Transactions.
2.Select "Transaction List" or "Transaction List - Open item".
3.Select the following options:
a)Period - Select a period on the Per period tab. You may click on the Free selection tab to select a specific date or a range of dates to include transactions in the report.
b)From ... To - Select a creditor (supplier) account or a range of creditor (supplier) accounts, to include in the report.
c)Sequence - Select "Creditor code" to print the report by account code or "Description" to print the report by account description (name).
f)New page per account - If this option is selected (ticked), it will print the transactions for each account on a new page.
The Company details will not be printed as in the Page header. The company name is displayed in the Page footer.
g)Cost centre 1 / 2 - If you have activated Cost centres, you may select the Cost centres.
4.Click on the OK button.
View the "Creditor transaction list" report
The "Creditor transaction list" report" will list all the transactions, whether batch transactions or supplier return documents are linked to credit batch transactions and purchase documents, or not.
View the "Creditor transaction list - Open item" report
The "Creditor transaction list - Open item" report will list only the the outstanding amounts and all transactions for which batch transactions or supplier return documents are not linked to credit batch transactions and purchase documents.
The debit transactions which are linked to specific credit transactions of the same value, will not be displayed. If a transaction of a different amount is linked to a specific transaction, only the outstanding amount (difference) will be listed.
•Payment - 108 - 2016/03/30 - 750.00 - Debit transaction in the Payments journal is linked to the supplier invoice PU002 - 2016/03/06 -1710.00.
The outstanding amount for this transaction is 960.00 still due to the creditor (supplier). (1710.00 minus 750.00). Only 960.00 will be listed
•Supplier return SR000003 - 2015/05/25 - 1710.00 is linked to Purchase PU000007 - 2015/05/17 - 1710.00.
Supplier return SR000003 and Purchase PU000007 will not be listed on the "Transaction list - Open item" report as well as the "Creditor remittance advise - Outstanding".
Any debit amounts (e.g. SR000002) on this report implicates that the transaction(s) are not linked to a credit transaction. You may need to process the links on the Action → Open item.
The details on the report, is as follows:
1.Page header 1 - Company details - This will only print on the fist page.
If the New page per account option on the report parameters is selected (ticked), the Company details will not be printed in the Page header of the first page. The company name is displayed in the Page footer of all pages.
2.Page header 2 - Report Name and Parameters as selected on the Report Options will display below the Company details on the first page and at the top of each subsequent page.
3.Header group - The Account code and Name (description). It also displays if the creditor (supplier) account is an open item account.
4.Detail - List the transaction details for each account.
a)Reference - The reference number of the document (i.e. Purchases and Supplier returns) or the reference number entered in the reference column on the Batch entry screen.
b)Date - The date of the transaction or document.
c)Description - The stock item code or the account description (if the Financial entry stock item type was selected on a document) of the document (i.e. Purchases and Supplier returns) or the description entered in the description column on the Batch entry screen.
d)Debit - The debit transaction amount.
e)Credit - The credit transaction amount.
f)Cum - The accumulative total of the transactions included in the account.
5.Footer - Groups - Total / Balance - Displays the total of the transactions and the closing balance for each account.
6.Page Footer - List the following:
a)Data - Name of the Set of Books and the full path of the Set of Books (e.g. ...\books\BOOKSNAME\Books.fdb)
b)System User and TurboCASH User (Setup → Access control).
c)Printed: The date and time of the system (computer) on which the report is printed.
d)Page: Page number and the last page number of the report.
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