Printing the G/L Source Journals Report
Source journals list the details of posted transactions for the source
codes that you included in the source journal definition.
You can customize a source journal at print time by choosing:
- The sorting order of the
report. (By account number, segment, or account group.)
- Account, segment, account
group, or account optional field ranges.
- Fiscal period, reference,
transaction date, posting sequence, and batch number ranges.
Before you start
- Post current batches.
- Define source journals
on the G/L Source Journal Profiles screen.
To print the Source Journals report:
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Open General Ledger > G/L Reports >
Source Journals.
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On the Journal tab:
- In the Profile field, select the type of journal to print.
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In the Use Report field, accept the default report format, or specify an alternative report format.
You can select one of the sample report formats that are shipped
with General Ledger, or you can choose a custom format that your company has created. More...
If your General Ledger is multicurrency, you can select one of three sample formats:
- GLSJ01F (for printing functional-currency only onto
letter-size paper)
- GLSJ01S (for printing both source- and functional-currency
reports onto legal-size paper)
- GLSJ1SA (for printing both source- and functional-currency reports onto letter-size or A4 paper)
There are two ways to select a sample report format:
- Type one of these format
file names into the Use Report field.
- Select a currency option
from the Currency list. The Use
Report field automatically shows the file name of the report format.
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If your General Ledger is multicurrency, in the Currency field,
select Functional or Source and Functional.
The Reporting option is available only in multicurrency ledgers if the euro is your functional currency and you specified a reporting currency.
Note: The Reporting option
uses the letter-size report format (GLSJ01F) and prints debit and credit amounts
from the reporting fiscal set.
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On the Account
tab:
- Specify whether to sort the report by Account Number, by Segment, or by Account Group.
- Specify a range of account numbers or segment codes.
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If you want to select accounts by a range of sort codes, select
Select Account Groups By Sort Code Range, and then
specify the range.
Note: The Account Group option in the Sort By section
changes to Account Sorted Group when you select this option.
- If you want to include optional
field information that was posted with transaction details, select Include Transaction Optional Fields.
- In the segment table, specify the segment names and ranges of segment codes by which to select accounts.
- in the account optional fields table, enter a range of account optional fields by which to select accounts, or leave the table blank. (The table appears only if you use Transaction Analysis and Optional Field Creator.)
- On the Ranges
tab, specify ranges of fiscal periods, references, dates,
posting sequences, batch numbers, (and source currencies, for a multicurrency
ledger).
Important! If you print entries for
consolidated transactions, you must
enter 000000 in the Batch Number From field.
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Click Print.