AC-GL-RT12 GL Transaction Details
Created by Aljun Talle, Modified on Fri, 15 Nov at 4:10 AM by Aljun Talle
Applies to
- Product version: Velixo NX
- ERP: Acumatica, MYOB Acumatica, Cegid XRP Flex, Hotel Investor Apps, Haufe x360
- Functional area: Financials, Other
- Plan: All
- Template type: Production Report template
TABLE OF CONTENTS
- Applies to
- Description
- Coverage
- Typical audience
- Features
- Preview
- Download this template
- Documentation
- User Guide
- Version History
Description
The AC-GL-RT12 GL Transaction Details report is a comprehensive financial document that provides detailed information on General Ledger transactions within a specific period. The report is essential for auditing, financial analysis, and ensuring accuracy of financial records, which user can use to trace individual transactions and verify validity and correctness.
Coverage
This workbook includes the following sample reports:
GL Transaction Details: the GL Transaction Details report contains all the transactions extracted from Acumatica
GL Opening & Ending Balances: listing the opening and closing balances of the accounts specified on the GL Transaction details tab
Options: the template's settings sheet that is use for data validation lists and various lookups and configurations
Information: the information sheet of the report, used for storing useful details about the reports such as: code, version, article link, to keep track of the origin of the report
Typical audience
The typical users of this type of report are Finance professionals: Accountants, CFOs, Controllers
Features
The following features are used by this report. To use this report, please ensure that your Velixo license includes all of them, (or contact Support or Sales):
- Financial functions
- List functions
- Generic Inquiry / Query functions
Preview
Download this template
Important: To use the sample reports, you will need to download the below Velixo-GLDetail Generic Inquiry required by this Template and uploading that inquiry into the appropriate tenant of your ERP.
Velixo-GLDetail |
💡Having trouble downloading the file?
Simply right-click the link and select Save link as
Documentation
The AC-GL-RT12 GL Transaction Details report offers a detailed breakdown of all transactions within the General Ledger, including dates, account numbers, descriptions, amounts, and reference numbers. Its user-friendly interface ensures effortless execution, providing comprehensive insights into the financial activities and status of each account with minimal effort.
Filters
Located in the upper left of the sheet, the filters include:
- Branch: lists all the Branches present in Acumatica Instance including any custom group defined in the options sheet. For ease of use, Velixo shows you the Branch ID that you may be familiar with along with the Branch name. This Display name is configurable in the Options sheet.
- Ledger: the ledger to pull the balances from
- Include reclassified: giving users an option to include reclassified transactions or not
- From & To account: the account code or range of codes to pull relevant transaction details
- From & To period: the period filter to enable user to select a specific time frame for which to view the transaction details
These filters are seamlessly linked to the data on the Options tab:
General Ledger Transaction Details report
The report is created to gather all important basic information for a GL detailed report. It is organized in a table and includes the following key details:
- Account code/name
- Sub account code/name
- Reference number
- Description
- Customer / Vendor
- Transaction date
- Period
- Module
- Batch
- Total amount
General Ledger Opening and Ending Balances report
This tab extracts the opening and ending balances for the accounts specified in the GL transaction details tab. The data collected here is aggregated into the main GL transaction detail table, providing a comprehensive view that includes both the transaction movements and the opening and closing balances of the accounts.
User Guide
Using the report
Now that we've covered the report overview, let's dive into a step-by-step guide on effectively utilizing the report.
- Set the Connection name on the Options sheet: crucial for all processes, set the Connection Name on the Options sheet by updating cell A2. Ensure it matches the name used during Velixo application login.
- Update the Options Sheet: As the foundation for filters on the Trial Balance tab, keep the Options sheet up to date. It should always and automatically capture the latest dimensions and structures from your Acumatica instance; however, you can also customize it.
- On the GL transaction details sheet, choose the desired filter:
- Branch
- Ledger
- Include reclassified
- From & To account
- From & To period
- Once filters are set, run the Velixo Smart Refresh to update the report.
Note: Some filter changes may require a Smart Refresh to update the report. If the report does not automatically refresh after modifying the filter, please perform a manual Smart Refresh.
Version History
Version | Released on | Changes |
1 | 15 May 2024 | NA. Initial version of the template |
1.1 | 10 Jun 2024 | Enhanced financial period handling to support all regional settings and formats |
1.2 | 15 Nov 2024 | Updated financial period formulas to function seamlessly across all regional settings and formats. |
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