Reprinting Unposted Petty Cash Transaction Reports
To reprint posted transaction reports:
- Open the THAI A/P Posted Payment Transaction Report form.
 - Specify a date range. For example, 01-Jan-2014 to 01-Feb-2015.
 - 
            Specify this information: 
		  
            
- Display Report Header
 - Select to show report headers in the report.
 - Display Distribution Detail
 - Select to include distribution detail in the report.
 - Bank Code
 - Specify the starting and ending bank codes to print on the report.
 - Internal Notes
 - Select to print internal notes.
 - Vendor
 - Specify the starting and ending vendor to print on the report.
 - External Notes
 - Select to print external notes.
 - Check Date
 - Specify the starting and ending check date to print on the report.
 - Increment Date
 - Select to automatically increment the date ranges and re-run reports.
 - Check Number
 - Specify the starting and ending check numbers to print on the report.
 
 - Select Action > Background to open the Background Queue form.
 - 
            To schedule this report to run automatically in the background: 
		  
            
- Select Actions > Background to open the Background Queue form.
 - Specify the frequency for this report.
 - Click OK.
 
 - 
            To print the report now: 
		  
            
- Optionally, click Preview to preview the results before printing.
 - Click Print to print the report.
 
 
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