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        GL: Cash Balance Report Tab
        Make the following menu selections to display this tab: 
 
        eFinancials—Reports—GL Reports—Cash Balance 
 Report
        Use this tab to print a cash balance report for a selected 
 period, displaying the EntityCompany, 
 account, and balance, for GL Accounts that have a Cash Flow Code equaling 
 Cash. 
         Report Description
Report Description
        
        
            The report header displays the account and the reporting 
 period. The report columns display:
            
                - The current EntityCompany.
- The current account.
- GL account cash balance
 
         Creating the Cash Balance Report Format
Creating the Cash Balance Report Format
        
        
            Make the following menu selections to display this tab: 
 
            eFinancials—Setup—Reports—Report Formats
            Complete the following procedure to create a new cash 
 balance report format for use in the Format field on the Cash Balance 
 Report tab:
            
                - From the Setup Report 
 Formats tab, click Add Format. 
 
- On the General tab, 
 from the Format ID field, enter 
 a format ID (example: CashBal).
- From the Description 
 field, enter a description for the new report (example: Cash Balance Format).
- The sequence number 
 of the section in the sequence of report segments. You can also think 
 of this number as identifying the detail line.
- In the Sequence # field, 
 notice the detail sequence number for the section. The Cash Balance Report 
 requires a report format with at least one detail sequence. To change 
 the default number, type the Sequence 
 # you want to use for this section, and select a section 
 Type. 
                 Note
Note
            The Cash Balance Report reports only on accounts for 
 which the Cash Flow Code is "Cash" (as set up on the Account 
 Maintenance Tab). You do not need to set up a detail sequence for 
 any other accounts, because they are not included in the report. 
            
                - From the From 
 Account and Through Account 
 fields, type the from and thru accounts that will include cash accounts 
 from any EntityCompany. 
 Do not include Totaling or Heading accounts.
- Click Save. 
 
 
         To Print the Report
To Print the Report
        
        
            
                 Note
 Note
            A default format, BalSht, 
 is provided for this report. For a customized report, you must have set 
 up custom report formats. 
            
                - From the eFinancials 
 menu, select Reports—GL 
 Reports—Cash 
 Balance Report. 
- Click Select 
 EntitiesCompanies. 
 Select the EntitiesCompanies 
 for which you want to print the report and click Save.
- From the Fiscal 
 Year field, type the year for the report (for example, 2008). 
- From the Period 
 field, type the period for the report (for example, 2). 
- From the Report 
 Format drop-down list, select a format.
- If you want the report 
 to include unapproved transactions, select the Include 
 Unapproved Transactions check 
 box.
- Select one of the 
 following report printing options: 
                    - PDF 
 Format: Print the report in PDF format for use in a PDF viewer, 
 such as Acrobat.
- Create 
 Spreadsheet: Prints the report in an Excel spreadsheet. 
- Click Print. 
 If you selected Create Spreadsheet, you are prompted to open or save the 
 report Excel file. Otherwise, the report opens in PDF format.
 
        See Also
        GL 
 Reports Introduction