Report: Automatic Reports
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The Automatic Report feature provides a quick-and-easy option for generating sets of daily and monthly reports for printing.
The operator can query multiple reports for batch processing, or queue the print jobs for a later time.
Access and Window Options
The Automatic Reports can be opened by selecting Other -> Automatic Reports.
Access to the Automatic Reports is controlled through the security system Other -> Automatic Reports -> View setting.
- Run Reports As Of: If a daily report is processed, the report will be completed as of the specific day. For Monthly reports, the reports will go through the end of the selected month.
- Printer: Change the selected printer.
- Run Now: Send the selected reports to the printer.
- Wait: Create a future batch job to print the reports at a specific time. If selected, the workstation which started the batch cannot exit Newton until the batch process has completed.
Report Definitions
All reports include all department codes.
Daily Reports
For a daily report, the report will be completed as of the specific day.
Report Name | Description |
---|---|
Invoice Register | Invoice Register by entry date, including both agency bill and direct bill invoices and binders. |
Cash Deposit Report | Cash Deposit Report by entry date, including all bank profiles excluding deleted cash. |
Check Register | Check Register detail by entry date, including all bank profiles and check types, including voided checks. |
Journal Register | Journal Register by entry date. |
Suspense Register | |
History Report | |
Bank Report | G/L inquiry for GL-1100, including all bank profiles, showing net change. |
Management Summary | Daily Management Summary including daily cash transactions, invoices, receivables, payables, and commissions. |
Monthly Reports
For Monthly reports, the reports will go through the end of the selected month.
Report Name | Description |
---|---|
Balance Sheet | Balance Sheet including assets, liability, and capital account balances for the month. |
Income and Expense | Income and Expense including income and expense account balances for the month. |
Trial Balance | Trial Balance including general ledger account net change by transaction for the month. |
GL Inquiry | G/L inquiry including the net change for all general ledger accounts for the month. |
Client Aging | Aged Receivables for client, GL-1120: Client Receivables, sorted by client number for the month. |
Company Aging | Aged Receivables for company, GL-1130: Company Receivables, sorted by company number for the month. |
Accounts Current | Accounts Current including agency billed company invoiced premium, commission, and payable amounts for the month sorted by policy number. |
Company Statement | Company Statement for GL-2110: Company Payable. Lists balance forward, account current amount, and any checks within the month. |
Producer Statement | Producer Statement for GL-2120: Producer Payable. Lists balance forward, invoice transaction details, and any checks within the month. |
Sales Analysis | Sales Analysis Summary of policy premiums month-to-date, and fiscal year-to-date, by class with company sub-totals for the month. |
Expiration List | Policy List Report for any policy with a policy expiration date for the month. |