Unposted Encumbrance Transactions
Access this report using Reports>Encumbrances>Unposted Encumbrance Transactions. |
Use this report to print encumbrance entries that have not yet posted. It is a good idea to print and review unposted entries for accuracy before posting them. This report contains:
- Additional items, columns, and filters if any user defined fields were created by the Administrator using Organization>Set Up User Defined Fields.
- Only user defined fields with a field type of String, Editable Drop-Down List, Non-Editable Drop-Down List, Date, or Yes/No in the Items by Page group box on the Content tab.
- User defined fields with a field type of Currency follow the formatting of the organization's functional currency.

Account Level Security is available for this report. This feature allows the Administrator to define the account codes and related amounts a user can view in the report. When account level security is activated by the Administrator for the organization (Security>Set Up Account Level Segments) and enabled for a user or group (Security>Set Up Account Level Security), the report will only print account information the user is allowed to see. Note that if a user does not have Account Level Security enabled, the user will see all account codes.
If the "Print Disclaimer on Report" check box is selected on the Security>Set Up Account Level Segments form, "This report may be affected by Account Level Security" prints in the header of this report. In that case, an * also prints after the report title.
Use this tab to assign a report name and determine whether or not to include it on the actual report. The report name can be printed in the header or the footer of the report.
Use this tab to determine what data to include in the report and to define the report layout.
- By selecting Available Items, the data is divided onto separate pages. The report starts a new page for each item, and the item is printed in the page header of the report.
- By selecting Available Columns, the data that appears in the body of the report is determined.
Column | Description |
---|---|
Transaction Source |
The document's transaction type, either ENC for Encumbrances or ENL for Encumbrance Liquidations. |
Session Status |
The status of the session—Batch-To Post or Batch-To Suspend. |
Session ID |
The session ID assigned to this batch of documents. This ID was entered during transaction entry. |
Session Date |
The date of the session from the session form. |
Session Description |
The description from the session form. |
Session Last Updated Date/Time |
The last date and time the session was saved. |
Document Entry Order |
The order the documents were saved. It displays the date and time. |
Document Number |
The document number entered on the transaction entry form. |
Document Date |
The date of the document, such as encumbrance date or liquidation date. |
Document Description |
The description entered for the designated document. |
Document Amount |
The amount of the document, such as encumbrance date or liquidation date. |
Matching Transaction Source |
The transaction source assigned to the related document. |
Matching Session ID |
The session ID assigned to the related document. |
Matching Document Number |
The number assigned to the related document. |
Vendor ID |
The Vendor ID selected on the transaction entry form. |
Vendor Name |
The name assigned to the vendor. |
Document Created By User |
The user ID who created the document. |
Document Created on Computer |
The computer in which the document was created. |
Document Created Date/Time |
The date and time the document was created. |
Document Modified By User |
The user ID who modified the document. |
Document Modified on Computer |
The computer in which the document was modified. |
Document Modified Date/Time |
The date and time the document was modified. |
Effective Date |
The transaction's effective date. |
Transaction Entry Order |
The order of the transactions. It controls the order the records print on the report. |
Transaction Description |
The transaction line item's description. |
{Segment Name} Code |
The code assigned to the segment, such as 01, 201, or 11001. The report prints one column for each segment. |
{Segment Name} Title |
The title associated with each code above, such as Fund Title, Grant Title, or GL Title. The system displays one column for each of these code types. |
{Segment Name} Short Title |
The short title associated with each code above, such as Fund Short Title, Grant Short Title, or GL Short Title. The system displays one column for each of these code types. |
Increase |
The increase amount entered in the transaction entry table. |
Decrease |
The decrease amount entered in the transaction entry table. |
Attachments |
A designation of Yes or No, depending on if there are any attachments. |
Documents Attached |
The number of attached documents. To reduce duplication, select Summarize Amounts on the Options tab. |
{User Defined Field} - Transaction Documents |
A transaction documents type user defined field and its data. There is a separate column for each field that was created by the Administrator using Organization>Set Up User Defined Fields. |
{User Defined Field} - Transaction Lines |
A transaction lines type user defined field and its data. There is a separate column for each field. |
Use this tab to narrow down and more explicitly define the data to include in the report by selecting from the Available Filters.
Use this tab to set up any Available Options for the report.
Options |
Description |
Summarize Amounts |
Select this option to add amounts together and display one line item with the total amount. All document information must be identical for the system to add items together. |
Use this tab to change the font and page setup for a report.
Use this tab to secure the active report so that other users cannot save their changes to it. The user that selects the check box, and then saves the report, is the only user that can change or save it later. This check box cannot be cleared by any user other than the user that locked the report.
- To print totals for each account code combination, select the Show Totals box on the Content tab.
- Currency fields follow the formatting of the organization's functional currency. The functional currency was determined by the Administrator when the organization was created (File>New Organization>Functional Currency panel).