Report | Description |
|---|---|
Adjusting Journal Entries | Lists the adjustments and the distributions that are entered for the period (Current period or Year to Date) for the selected contact. |
Balance sheet | Lists current year and prior year balances for the current period or year to date. |
Chart of Accounts | Lists information about all accounts set up for the contact, such as account number, type, account description, code, and subcode. You can create this report for each schedule that you have added in the Groupings screen.
note
You can select the Edit button in the Actions column to select a different grouping schedule. (Currently, only this report allows you to choose from a list of other grouping schedules that you've set up.) |
General Ledger | Lists all accounts, balances, and activity for the selected period. |
Grouping Schedule | Lists prior-period balances, unadjusted balance, adjusted journal entries, and adjusted balances organized by grouping schedule code (available for all grouping schedules). |
Income Statement | Lists accounts and balances based on how accounts are grouped to Account Classification grouping schedules in the Groupings tab. |
Trial Balance | Lists account information for your contact, including account numbers, descriptions, balance types, and net income amount. |
Trial Balance Worksheet | Lists the prior-period balance, unadjusted balance, adjusting journal entries, and the adjusted balance for each account.
note
You can click Edit in the Actions column to select which account balances to include in the report, and optionally choose to display separate debit and credit columns for adjustments. |
Trial Balance Worksheet | Lists the prior-period balance, unadjusted balance, adjusting journal entries, and the adjusted balance for each account.
note
You can click Edit in the Actions column to select which account balances to include in the report, and optionally choose to display separate debit and credit columns for journal entries. |
Tax Grouping | Lists the tax grouping schedule for the selected contact. Accounts are grouped under each tax code/subcode and then subtotaled. This report provides a method to verify balances that are to be imported to other tax applications. |