Running the Journal Transaction Report
- Open the Journal Transaction Report form.
 - Specify this information: 
           
- Journal ID
 - Select the journal for which you want to run the report.
 - Sort By
 - 
              Select the method by which to sort the report: 
              
- Sequence: Sort journal transactions by sequence number.
 - Account: Sort journal transactions by general ledger account number. When you select this option, the report is sorted by account, date, and then sequence number.
 
 - Site Group
 - Select the multi-site group to include in the report. To limit records to the current site only, leave this field blank.
 - Group By
 - Select the unit code by which you want to group transactions in the report.
 - Display Report Header
 - Select this check box to print report headers on the report.
 - Show All Transactions
 - Select this field to print the total of each G/L account and beneath it all the transactions for that account. Unit codes are also displayed. Clear this field to print only the total for each G/L account.
 - Print External/Internal Notes
 - Select these check boxes to print internal and external notes on the report.
 
 - In these fields, select the range of values to include in the report: 
           
- Sequence
 - Transaction Date
 - Period
 - Account
 - Account Unit (1-4)
 - Reference
 
 - Select Increment Date to automatically increment the date range and re-run the report.
 - Click Preview to view the output before printing.
 - Click Print to run the report and view the output.
 
           Related topics