Ledger Summary Report

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Reports—Accounting Reports—Monthly Income Summary

The LedgerSummary Report prints a reconciled month-to-date or year-to-date summary listing of all activity entered during the current accounting period and includes an optional recap list sorted by income code.

Note that security is tracked separately and displayed as two lines of resident totals. It is not displayed by income code at the resident level.

ClosedSelection Criteria

Select Properties

Click to select properties from the Select Properties pop-up. The report runs for all selected properties.

Recap By Income Code

Accept the checked default to print a recap section sorted by income code at the end of the report or uncheck to exclude it.

Standard or YTD

Accept Standard (default) to print the standard report, or select YTD to print the Year to Date Ledger Summary.

ClosedStandard Report Details

The report is titled Ledger Summary and shows the current date.

Unit

The building + unit number. For instance, 01-A101.

Beginning Balance

This number is calculated as Ending Balance – New Charges – Adjustments + Received + Forfeits + Refunds. An * (asterisk) indicates this line is a continuation from the prior line, in other words that the transactions listed for the income code on this line is applied against the income code from the previous line.

New Charges

The sum of the transaction detail amount for income codes where the income code Receivable flag is set to Y, and the transaction type is 1 or 9 (billing).

Adjustments

The sum of the transaction detail amount for income codes where the income code Receivable flag is set to Y, and the transaction type is 2 (adjustment), 6 (balance transfer), or 8 (write-off).

Code

The identifying income code. For instance, RENT.

Description

A brief description of the income code. For instance, Base Rent.

Received

The sum of the transaction detail amount for income codes where the transaction type is 3 (payment).

Non-Revenue

The sum of the transaction detail amount for income codes where the income code Receivable flag is set to N, and the transaction type is 1, 2, or 9 (billing or adjustment).

Forfeits/Refunds

The sum of the transaction detail amount for income codes where the transaction type is 4 (forfeit) or 5 (refund).

Ending Balance

The sum of the Open Item Balance Due for the income code. An * (asterisk) indicates this line is a continuation from the prior line, in other words that the transactions listed for the income code on this line is applied against the income code from the previous line.

Total Rent

Totals for income codes of a type other than Security or Other Security are listed.

Deposit

Totals for Security and Other Deposit are listed.

Property Totals

Column totals are listed per property.

Income Code Recap

If this option is selected, this section appears at the end of the report. This is a summary of the detail information for each income code encountered while displaying the report, sorted by those codes.

Beginning Balance

This number is calculated as Ending Balance – New Charges – Adjustments + Received + Forfeits + Refunds. An * (asterisk) indicates this line is a continuation from the prior line, in other words that the transactions listed for the income code on this line is applied against the income code from the previous line.

New Charges

The sum of the transaction detail amount for income codes where the income code Receivable flag is set to Y and the transaction type is 1 or 9 (billing or adjustment).

Adjustments

The sum of the transaction detail amount for income codes where the income code Receivable flag is set to Y, and the transaction type is 2 (adjustment), 6 (balance transfer), or 8 (write-off).

Code

The identifying income code. For instance, RENT.

Description

A brief description of the income code. For instance, Base Rent.

Received

The sum of the transaction detail amount for income codes where the transaction type is 3 (payment).

Non-Revenue

The sum of the transaction detail amount for income codes where the income code Receivable flag is set to N, and the transaction type is 1, 2, or 9 (billing or adjustment).

Forfeits/Refunds

The sum of the transaction detail amount for income codes where the transaction type is 4 (forfeit) or 5 (refund).

Ending Balance

The sum of the Open Item Balance Due for the income code. An * (asterisk) indicates this line is a continuation from the prior line, in other words that the transactions listed for the income code on this line is applied against the income code from the previous line.

Total

Column totals are listed as the sum of the detail.

ClosedYear to Date Report Details

The report is titled Ledger Summary and shows the start and end dates of the current accounting period.

Tenant/Unit

Shows tenant name, the building + unit number (for instance, 01-A101), Lease Begin/End dates, Renewal Begin/End dates, Move In/Move Out dates, square footage of the unit, and Security Deposit amount.

Code

The identifying income code. For instance, RENT.

Description

A brief description of the income code. For instance, Base Rent.

Beginning Balance

This number is calculated as Ending Balance – New Charges – Adjustments + Received + Forfeits + Refunds. An * (asterisk) indicates this line is a continuation from the prior line, in other words that the transactions listed for the income code on this line is applied against the income code from the previous line.

Current Charges

The sum of the transaction detail amount for income codes where the income code Receivable flag is set to Y, and the transaction type is 1 or 9 (billing).

Adjustments

The sum of the transaction detail amount for income codes where the income code Receivable flag is set to Y, and the transaction type is 2 (adjustment), 6 (balance transfer), or 8 (write-off).

Payments

The sum of the transaction detail amount for income codes where the transaction type is 3 (payment).

Non-Revenue

The sum of the transaction detail amount for income codes where the income code Receivable flag is set to N, and the transaction type is 1, 2, or 9 (billing or adjustment).

Forfeits/Refunds

The sum of the transaction detail amount for income codes where the transaction type is 4 (forfeit) or 5 (refund).

Ending Balance

The sum of the Open Item Balance Due for the income code. An * (asterisk) indicates this line is a continuation from the prior line, in other words that the transactions listed for the income code on this line is applied against the income code from the previous line.

Year To Date Charges

Sum of recurring charges, one time billings, or adjustments (transaction types 1, 9, or 2) to the income codes for that unit between January 1 of the current year through the report run date.

Year to Date Payments

Sum of payments to the income codes for that unit between January 1 of the current year through the report run date.

Total for Tenant

Column totals are listed per tenant.

Property Totals

Column totals are listed per property.

Income Code Recap

If this option is selected, this section appears at the end of the report. This is a summary of the detail information for each income code encountered while displaying the report, sorted by those codes.

Code

The identifying income code. For instance, RENT.

Description

A brief description of the income code. For instance, Base Rent.

Beginning Balance

This number is calculated as Ending Balance – New Charges – Adjustments + Received + Forfeits + Refunds. An * (asterisk) indicates this line is a continuation from the prior line, in other words that the transactions listed for the income code on this line is applied against the income code from the previous line.

Current Charges

The sum of the transaction detail amount for income codes where the income code Receivable flag is set to Y and the transaction type is 1 or 9 (billing or adjustment).

Adjustments

The sum of the transaction detail amount for income codes where the income code Receivable flag is set to Y, and the transaction type is 2 (adjustment), 6 (balance transfer), or 8 (write-off).

Payments

The sum of the transaction detail amount for income codes where the transaction type is 3 (payment).

Non-Revenue

The sum of the transaction detail amount for income codes where the income code Receivable flag is set to N, and the transaction type is 1, 2, or 9 (billing or adjustment).

Forfeits/Refunds

The sum of the transaction detail amount for income codes where the transaction type is 4 (forfeit) or 5 (refund).

Ending Balance

The sum of the Open Item Balance Due for the income code. An * (asterisk) indicates this line is a continuation from the prior line, in other words that the transactions listed for the income code on this line is applied against the income code from the previous line.

Total

Column totals are listed as the sum of the detail.

Year To Date Charges

Sum of recurring charges, one time billings, or adjustments (transaction types 1, 9, or 2) to the income codes for that unit between January 1 of the current year through the report run date.

Year to Date Payments

Sum of payments to the income codes for that unit between January 1 of the current year through the report run date.

ClosedTo Display the Ledger Summary Report

  1. From the eSite menu, select Reports—Accounting Reports—Ledger Summary.
  2. Click Select Properties. Select the properties for which you want to print the report and click Done.
  3. Select the information you want to see on the report (refer to the Selection Criteria for this report).
  4. Select a Report Format option: Acrobat Reader (default), Crystal Viewer, Excel.
  5. Click Display. If you selected the printing option, Excel, you are prompted to open or save the report Excel file. Otherwise, the report opens in your preferred format.

See Also

Accounting Reports Overview

Reports Overview

Report Printing Options

Select Properties

 

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