report for Provision datasets displays Balance Sheet accounts in the trial balance. The trial balance ending book basis and related adjustments are populated in the Trial Balance/Tax Basis page.
Report Views
Defaults to the Summary view of trial balance lines.
Select the Detail view to display trial balance lines with sub-line detail.
Select the Contract view to display total amounts per activity.
Select the Expand view to display temporary difference activity.
Rollups are user-defined groupings that allow trial balance sub-line data to be consolidated and rolled up to a higher level. Create and manage rollups in Administration.
Line by Line
Balance Sheet: Displays trial balance lines designated as asset, liability, or equity in Manage Trial Balance mappings.
Column by Column
Book Balance: Data Entry > Trial Balance/Tax Basis in a Provision dataset.
Book Adjustments: Data Entry > Trial Balance/Tax Basis in a Provision dataset.
Tax Reclass: Data Entry > Trial Balance/Tax Basis in a Provision dataset.
Adjusted Reclassified Book: Data Entry> Trial Balance/Tax Basis in a Provision dataset.
Book Tax Differences: Data Entry > Trial Balance/Tax Basis in a Provision dataset.
Other Adjustments: Data Entry > Trial Balance/Tax Basis in a Provision dataset.