Transactions for period (GL633000) report

This topic gives you information about the elements that you find in this window in Visma.net ERP, such as fields, field values, buttons, and check boxes.

This report displays the list of transactions that occurred during the specified period. Transactions are grouped by account-subaccount pair, with each pair listed by the transaction date.

Report parameters

On this tab, use the following parameters to select the information to be displayed on the report:

Element Description

Branch

The branch the report should cover. Select a branch, or leave the field blank to view data on all branches.
By default, the current branch is selected.

Ledger ID

The ledger to be reported on. You must select a ledger.

By default, the actual ledger is selected.

Period

The financial period that starts a range of periods for which you want to view information. The list of periods contains all the periods, including the closed ones. By default, the financial period of the current business date is selected.

The first account number in the range for which you want to view information.

Enter a starting and ending account to include only a range of accounts in the report; leave these fields blank to report on all accounts.

The last account number in the range for which you want to view information.

Enter a starting and ending account to include only a range of accounts in the report; leave these fields blank to report on all accounts.

From subaccount

The starting subaccount number in the range for which you want to view information.

Enter a starting and ending subaccount to include only a range of subaccounts in the report; leave these fields blank to report on all accounts.

This field is available only if the Subaccounts functionality is enabled in the Enable/disable functionalities (CS100000) window.

To subaccount

The endring subaccount number in the range for which you want to view information.

Enter a starting and ending subaccount to include only a range of subaccounts in the report; leave these fields blank to report on all accounts.

This field is available only if the Subaccounts functionality is enabled in the Enable/disable functionalities (CS100000) window.

Multicurrency format:

A check box you select to display the report in multi-currency format.

If you select this check box, for accounts denominated in foreign currencies, all amounts are shown in both the base currency and the currency of denomination.

(Foreign currency transactions on other accounts are also shown in two currencies.)

If you clear the check box, all transactions (including foreign currency transactions) are shown in only the base currency.