Reconciliation reports provide summaries of your firm’s work-in-process, billings, and accounts receivable, and enable you to see the flow of your firm’s work over a specified period. These reports can serve as a check to verify that reports balance.
To view and print a Reconciliation report, choose File > Print Reports. In the Print Reports screen, click one of the reports under
Reconciliation
in the available reports pane and then click the Select button.
Reconciliation reports include the following:
Client Investment Analysis
Period Reconciliation
If you encounter an SQL Server error with several invalid column name messages when you attempt to print a report, you may need to clear any applied filters before selecting the report.To do this, hold down the SHIFT key as you select the report.