Make the following menu selections to display this tab:
eFinancials—Reports—AR Reports—Cash Receipts Register or
Use this tab to generate a report that shows deposit and billing information. For each PropertyCompany selected, the default company'sentity's cash accounts that were posted for the deposit information. A variety of formats and levels of detail are available.
Select PropertyCompany
Click to select propertiescompanies from the Select PropertiesCompanies tab. The report runs for all selected propertiescompanies.
Report Options
Select a the level of detail to print on the report. Options include:
1 Line
Per Receipt - Print only summary information for each receipt.
1 Line Per Billing - Pint one line for each billing included in each receipt.
1 Line Per Billing By Job - Print by job, customer, then billing (in that
order).
Period Summary - Print a period summary.
NOTE that the options below may
change based on your selection.
Date Range
Select a date range for the report. Options include:
Receipt
Date -
Also, enter into the fields that appear a From
Receipt Date and a Thru Receipt Date using the electronic
calender.
Posting Period - Also, enter
into the fields that appear a From
Prd/Fiscal Year and a Thru Pre/Fiscal Year
using the electronic
calender.
Period Totals Only (check box) - This option appears only when you select to print a Period Summary. Check the box to print period totals only.
From Account / Thru Account
To run the report for a specific Account or Account
range, click the Lookup icon to display a pop-up and then
select a starting Account. Repeat the process to select an ending Account.
To run the report for only one Account, select the same entry for the From
and Thru fields.
From Customer / Thru Customer
To run the report for a specific Customer or Customer
range, click the Lookup icon to display a pop-up and then
select a starting Customer. Repeat the process to select an ending Customer.
To run the report for only one Customer, select the same entry for the
From and Thru fields.
From Job / Thru Job
To run the report for a specific Job or Job range,
click the Lookup icon to display a pop-up and then select
a starting Job. Repeat the process to select an ending Job.
To run the report for only one Job, select the same entry for the From
and Thru fields.
NOTE that this option only appears
when the 1 Line Per Billing By Job option is selected, above.
From Receipt / Thru Receipt
To run the report for a specific Receipt or Receipt
range, click the Lookup icon to display a pop-up and then
select a starting Receipt. Repeat the process to select an ending Receipt.
To run the report for only one Receipt, select the same entry for the From
and Thru fields.
From Reference / Thru Reference
To run the report for a specific Reference or
Reference range, click the Lookup icon to display a pop-up
and then select a starting Reference. Repeat the process to select an
ending Reference.
To run the report for only one Reference, select the same entry for the
From and Thru fields.
Include Unapproved (check box)
Select this check box to include transactions from unapproved batches on the report. On the report, the amount for an unapproved item appears in the appropriate aging column and the balance due is 0.00. Amount totals for unapproved items are included in the Unapproved and Unauthorized Total line at the end of the report (they are not included in the Authorized and Approved Total line).
Report Format
PDF Format (default): Select this option to print the report in PDF format.
Create Spreadsheet: Select this option to print the report in an Excel spreadsheet.
Click to print the report.
This report allows you to print purchase order receipts. Refer to Fields list for details.
See Also
Copyright © 2018 Infor. All rights reserved. www.infor.com.