Visma Net
Balance by customer (currency) (AR633000) report
This topic gives you information about the elements that you find in this window in Visma Net, such as fields, field values, buttons, and check boxes.
This window is available only if the Multi-currency accounting functionality is enabled in the Enable/disable functionalities (CS100000) window.
This report displays the outstanding foreign currency balances of the selected customer (or all customers) during the chosen period.
For each customer, documents are grouped by account–subaccount pair and listed by reference number.
You can easily see each document's dates, original amount, and balance after payment application.
Report parameters
You use the following parameters to select the information to be displayed on the report:
Element | Description |
---|---|
Report format |
The format of the report. Select one of the following options:
|
Company |
The company the report should cover. Select a
company, or leave the field blank to view data on all companies. This field is available only if the Multi-branch support functionality is enabled in your system, in the Enable/disable functionalities (CS100000) window. |
Branch |
The branch the report should cover. Select a
branch, or leave the field blank to view data on all branches. This field is available only if the Multi-branch support functionality is enabled in your system, in the Enable/disable functionalities (CS100000) window. |
Period |
The financial period for which you want to display data; you must specify a financial period. |
Customer |
The customer to be reported on, if any. Select a customer by ID from the list of active customers, or leave the field blank to view information about all customers. |
Include applications | A check box you select to include applied documents. |
Consolidate data by parent account | A check box you select to consolidate data that is involved in parent-child relationship under a parent account. |