Use this tab to print an accounts payable Batch Totals 
 report. 
        The Summary report provides, for each batch, Total from 
 Batch, Total Entered, and difference, as well as the batch approval status 
 and date. It also breaks out dollar amounts for each batch by invoices, 
 checks, billings, receipts, journal entries, and inventory.   
        The Detail report provides this same information broken 
 out by transaction. In addition, the detail report includes transaction 
 date, document source and number, vendor name (if appropriate), propertycompany 
 ID, and Post To expense code for each transaction. 
        
            Batch Information
            The following batch information appears for each 
 batch included on the report. 
            Batch
            The Batch ID, the date it was opened, and the 
 User Name of the person who opened the batch.
            Status
            The approval status for the batch. If the status 
 is Approved, this includes the approval date and the User Name of the 
 person who approved it.
            Detail Information
            The following fields appear on the Batch Totals Detail 
 report, the Batch Proof Report, and 
 the Batch Audit Report reports only. 
 This information is sorted by Document Type and ID 
 or Data Entry Order based on your selection for 
 Additional sort. These fields and sort options 
 do not 
 appear on the Batch Totals Summary report.
            Document 
            Identifies the document associated with the transaction. 
 For example, PY-012345678 indicates 
 a payment (PY) and the associated check number (0123456789).
            Tran Date 
            The transaction date.
            Acct Date 
            The accounting date for the transaction.
            Pd/Year 
            The period of the transaction.
            EntityCompany
            
            The entitycompany 
 associated with the journal entry.
            Account No. 
            The account number associated with the credit 
 or debit (for journal entries).
            PropertyCompany
            
            The propertycompany 
 associated with the allocation for the invoice.
            Expense Code 
            The Post To expense code of the allocation for 
 the invoice.
            Description 
            The expense code Description.
            Vend/Cust 
            The vendor or customer associated with allocation 
 for the invoice.
            Void 
            The dollar amount of the void, if any. 
            Debits 
            The dollar amount of the debit, if any.
            Credits
            The dollar amount of the credit, if any. 
            Summary Information
            The following summary information appears on the 
 Batch Totals Summary, the Batch Totals Detail report, the Batch 
 Proof Report, and the Batch Audit 
 Report.
            PropertyCompany 
 Totals
            The propertycompany 
 totals for Billing, Void Billing, Receipt, Void Receipt, Invoice, Void 
 Invoice, Payment, Void Payment, JE Debit, and JE Credit. This totals appear 
 on the Batch Proof Report only, and only if you selected the Subtotal 
 Batch Proof Report by PropertyCompany? check box on the Batches 
 General Tab.
            Batch Totals
            The batch totals for Billing, Void Billing, Receipt, 
 Void Receipt, Invoice, Void Invoice, Payment, Void Payment, JE Debit, 
 and JE Credit.
            Transaction Totals
            The transaction totals for Billing, Void Billing, 
 Receipt, Void Receipt, Invoice, Void Invoice, Payment, Void Payment, JE 
 Debit, and JE Credit.
            Difference
            The difference between the batch and transaction 
 totals for Billing, Void Billing, Receipt, Void Receipt, Invoice, Void 
 Invoice, Payment, Void Payment, JE Debit, and JE Credit.