Generating the Posting Journal Report
- Select Administration > Reports > Accounting > Posting Journal Report. The Posting Journal Report screen is selected.
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Specify this information in the Report
Parameters section:
- Property
- The code of the property for which the report is generated. This
value is defaulted.Note: You can modify the value.
- Transaction Type
- The type of transaction such as food and beverage revenue, room revenue and tax.
- Transaction Code
- The transaction code and description based on which the report
is generated.Note: You can select multiple transaction codes.
- Posting Type
- The code of the posting options available for Payment and
Charges that include Adjustments, Discounts, Void, Contra, and
Posted. Available options:
- Adjustment Charge
- Adjustment Payment
- Discount Charge
- Discount Payment
- Void Charge
- Void Payment
- Contra Charge
- Contra Payment
- Charge
- Payment
Note: The postings associated with the guest are only included. - Created By
- The user who posts the transaction.Note: You can select multiple users.
- Account
- The account to which the transaction is posted.Note: You can select multiple accounts.
- Group By
- The category based on which the information in the report is
grouped.Note: By default, Transaction Code (TC is selected. However, you can modify the value.
- Exclude Created By
- The ID and description of the user. The transaction posted by
the selected user are not included in the report.Note: You can select multiple values for this field.
- Building
- The building code based on which the transactions were posted
are included in the report.Note: You can select multiple values for this field.
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Set these parameters in the Report Options
section:
- Include Advance Deposits
- Select this check box to include the transactions posted to the
advance deposit ledger in the report.Note: By default, this check box is selected. However, you can modify the value.
- Include Lease Rental Deposits
- Select this check box to include rental deposit ledger section and the related transactions in the report.
- Include Lease Security Deposits
- Select this check box to include security deposit ledger section and the related transactions in the report.
- Include Lease Incidental Deposits
- Select this check box to include an incidental deposits ledger section and the related transactions in the report.
- Include Guest Ledger
- Select this check box to include the transactions posted to the
general ledger. Note: By default, this check box is selected. However, you can modify the value.
- Discount Postings Only
- Select this check box to include transactions for which the
discount is used.Note: These parameter settings are ignored if this check box is selected:
- Include Advance Deposits
- Include Lease Rental Deposits
- Include Lease Security Deposits
- Include Lease Incidental Deposits
- Show Credit Card Details
- Show Credit Card Details
- Select this check box to include the credit card name and details used for the payment transactions in the report.
- Show Comments
- Select this check box to include the comments related to the transaction posting in the report.
- Show Net Amount
- Select this check box to include the net amount of transaction in the report.
- Show Tax Amount
- Select this check box to include the tax amount in the report.
- Show Transaction Code Details
- Select this check box to include the details of the specified Transaction Code.
- Show Count
- Select this check box to include the total number of the transaction lines in the report.
- Show Quantity
- Select this check box to include the quantity of the transaction in the report..
- Show Quantity as Unit Sold
- Select this check box to include the calculated quantity in the
report.Note: You can select this check box only for the transactions that were posted prior to HMS version prior to 3.6.
- Show Tax as a separate section
- Select this check box to include the tax transactions in a separate section.
- Show Void Section
- Select this check box to include an additional section for the
adjustment transactions. The report Adjustment Transactions in the
void section. However, the total Amount remains the same.Note: If the transaction is reversed, both the voided and the void transaction are included in this section of the report.
- Show Transfer Section
- Select this check box to include additional section for the transfer transactions in the report.
- Show Market Segment
- Select this check box to include the market segment that is associated with the guest account in the report.
- Show Rate Plan
- Select this check box to include the details of the rate plan associated with the guest account.
- Group By Building
- Select this check box to group the information based on the building code.
- Include Number of Covers
- Select this check box to include the transaction count that are s old using POS, in the report.
- Include Adjustment Reason
- Select this check box to include the reason for adjusting the postings in the report.
- Include Credit Card Transfers
- Select this check box to include payment amounts related to the Credit Card account type in the report.
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Specify the Start Date and the End Date in the Date
Range section.
Note: By Default, the Start Date and the End Date are set to the Hotel Date.
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Click Print
Record.
Note: By default, the report is sorted by Time. You can also sort the report by Created By, Guest Name, Status, Transaction Code, Transaction Type, Room and Account.