Difference between revisions of "Report: Trial Balance"

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See [[Automatic_Reports#Monthly_Reports|automatic monthly reports]] for additional [[:Category:Month-End|month-end]] reporting options.  
 
See [[Automatic_Reports#Monthly_Reports|automatic monthly reports]] for additional [[:Category:Month-End|month-end]] reporting options.  
 
== Access and Security Options ==
 
== Access and Security Options ==
The trial balance can be opened by selecting '''G/L -> Trial Balance'''.  ''(Additionally, the trial balance is available as an [[Automatic Reports|automatic monthly report]])''
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The trial balance can be opened by selecting '''Reports -> Trial Balance'''.  ''(Additionally, the trial balance is available as an [[Automatic Reports|automatic monthly report]])''
  
 
Access to the trial balance is controlled through the [[Security System| security system]] '''G/L -> Trial Balance -> View''' setting.
 
Access to the trial balance is controlled through the [[Security System| security system]] '''G/L -> Trial Balance -> View''' setting.
  
[[File:Report-trialbalance.png]]
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[[File:Reports-trialbalance.png]]
  
 
== Report Window Options ==
 
== Report Window Options ==
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:[[File:Report-trialbalance-partial-detail.png]]
 
:[[File:Report-trialbalance-partial-detail.png]]
  
==== Detail -> Budget: ====
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==== Detail -> Budget Only ====
 
General Ledger accounts with budgets for the report period. See [[Budget Maintenance]] for additional details.
 
General Ledger accounts with budgets for the report period. See [[Budget Maintenance]] for additional details.

Latest revision as of 20:53, 20 March 2019

Related Pages
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The trial balance shows total Cash, Checks, Journals, and Invoice amounts for the month for each General Ledger account. The report only shows the total net change in each General Ledger account.

The trial balance does not include a balance forward amount, and is not a running total for each general ledger account.

See automatic monthly reports for additional month-end reporting options.

Access and Security Options

The trial balance can be opened by selecting Reports -> Trial Balance. (Additionally, the trial balance is available as an automatic monthly report)

Access to the trial balance is controlled through the security system G/L -> Trial Balance -> View setting.

Reports-trialbalance.png

Report Window Options

Date Range

Since the trial balance only shows net change within the period specified, the Start Date and End Date control the reporting period. When a date range is selected, all days within the selected month are also included.

Any entries prior to the start date, or after the end date will not be included in the individual account totals, or the report summary.

Detail Level

The detail level controls the amount of detail, per general ledger account that is included.

Detail Level -> Summary

General Ledger accounts with change are listed individually, with the total change displayed as a Debit or a Credit.

Report-trialbalance-partial-header.png
Report-trialbalance-partial-summary.png

Detail Level -> Detail

General Ledger accounts with change are listed individually, broken down by transaction type; Cash, Checks, Invoices, and Journal Entries.

Report-trialbalance-partial-header.png
Report-trialbalance-partial-detail.png

Detail -> Budget Only

General Ledger accounts with budgets for the report period. See Budget Maintenance for additional details.