The Bank G/L Transactions report is a list of the general ledger transactions created from all posted transactions and revaluations (in multicurrency ledgers).
Use the report as your audit trail for generated general ledger transactions.
Print this report before using the Bank Create G/L Batch screen to send transactions to the general ledger.
The Bank G/L Transactions report includes the following information:
Note: The level of detail for transactions on the detailed report depends on your choice for the Consolidate G/L Batches option. For example, if you selected Consolidate by Account and Fiscal Period, the report shows a total for each general ledger account and fiscal period. If you selected Do Not Consolidate, the report shows full details for each transaction.