Producing a Trial Balance
Trial Balance (TBL)
- Select By
- The Select By setting determines how the transactions are selected for the report. Four options are available:
- Accounting Period / Transaction Date / Entry Date From and To
- Depending on the option you have chosen for the Select By setting, enter either the date or range of dates, or the period or range of periods, to be included on the report. If you have chosen to select by Accounting Period, and only want transactions for the current accounting period, leave these fields blank.
- Value Basis
- The currency value you want to report on. You can select base currency, second base/reporting currency, or fourth currency.
- Summarize Debtor Balances
- If this field is set to Yes, the debtor/receivables account balances are totalled and printed as a one line summary. If debtor accounts are present in different ranges in Chart of Accounts (COA), with other account types located between the ranges, one summary is printed for each range.
- Summarize Creditor Balances
- If this field is set to Yes, the creditor/payables account balances are totalled and printed as a one line summary. If creditor accounts are present in different ranges in Chart of Accounts (COA), with other account types located between the ranges, one summary is printed for each range.
- Summarize Client Balances
- If this field is set to Yes, the client account balances are totalled and printed as a one line summary. If client accounts are present in different ranges in Chart of Accounts (COA), with other account types located between the ranges, one summary is printed for each range.
- Select Transactions
- The type of transactions to be included in this report.