Description The program creates a list of items ordered by account for the accounttypes G/L account, customers, and vendors. The fixed asset accounts andmaterial accounts are printed for the G/L account statements; i.e. theG/L account statements include G/L accounts, deposit accounts, andmaterial accounts. Accounts that are just clearing accounts in the newgeneral ledger view cannot be displayed using this report because theentry view does not have any line items corresponding to the generalledger line items. The items are divided primarily into account types,that is, postings to reconciliation accounts are represented under theaccount type for the which the relevant reconciliation account isdefined. The primary difference between this report and other item lists for theentry view (line item lists for customers, vendors, and G/L accounts) isthat it can be used to produce item lists for G/L accounts without lineitem display in the entry view. Output For every account with selected postings, all items of the selected typeand the distinguishable period are printed in addition to the accountdescription. You choose the account types for which the account statement is createdby marking the desired ones: customer line item>,vendor line item>, G/L account line item >, material line item or assets line item. In addition to the line item information, account-specific additionalaccount assignments are displayed if they are contained in the item.These are:
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