Revenue Journal

Access this report using Reports>Journals>Revenue Journal.

Use this report to print the posted detail information for revenue type general ledger accounts. You can view and reconcile revenues received by your organization according to the entry source—General Ledger receipts, receipts on Accounts Receivable, or Adjustments.

Additional items, columns, and filters are available 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 are available in the Items by Page group box on the Content tab. Also, if you have a transaction line type user defined field and it has a field type of Currency or Number, the system automatically totals the column in the report. User defined fields with a field type of Currency follow the formatting of the organization's functional currency.

 

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.

  • Current Transaction Dates are also required to specify the date range for the data included in 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

Document Number

The number assigned to a document during transaction entry.

Document Date

The date associated with the document.

Document Description

The description associated with the document.

Deposit Number

The deposit number from your cash receipt.

Document Amount

For functional currency, the document amount entered during transaction entry, such as the check or invoice amount. For non-functional currency, the Source Document Amount times the Exchange Rate.

Source Document Amount

For non-functional currency, the document amount entered during transaction entry.

Matching Document Number

The number assigned to the related document.

Class

Used to limit or sort a range of Customer or Vendor IDs. You can assign it to different IDs so that they can be grouped together. The report shows any class you have set up—Offsup, Rent, Util, for example.

Type

Used as a second-level sort for Class. You can use it to limit or sort a range of Vendor or Customer IDs. The report shows any types you have set up—furniture or computers, for example.

ID

The Vendor ID, Customer ID, or Employee ID assigned.

Name

The name printed on checks/vouchers.

Payee/Recipient Name

The name of the recipient or payee.

Source

A source of Customer, Vendor, Employee, or Processing Group. The report shows C, V, E, or P in the heading.

{Segment Name} Code

The code assigned to the segment. The report prints the account code, such as 201, 05, or 45001. The system displays one column for each of these code types, such as Fund Code or GL Code.

{Segment Name} Title

The title associated with each code above. The system displays one column for each of these code types, such as Fund Title or GL Title.

{Segment Name} Short Title

The short title for the title above (15 characters or less). The system displays one column for each code type, such as Fund Short Title.

{Segment Name} Group Code

The code name assigned. The report prints a column for each group code, such as Fund Group Code.

{Segment Name} Group Title

The title associated with the group code above. The report prints one column for each group segment.

{Segment Name} Group Short Title

The short title for the group title above (15 characters or less). The report shows one column for each group segment, such as Fund Group Short Title.

Effective Date

The line item effective date assigned during transaction entry.

Transaction Source

The document's transaction type, such as APC, API, APM, APS, APV, ARB, ARM, ARP, ARC, ARS, BD, CL, CD, CDS, CR, CRS, ENC, ENL, JV, JVA, JVD, PRC, PRS, PRV, or VCK.

Session ID

The session ID assigned to this batch of documents.

Entry Type

The entry type chosen during transaction entry—Normal, End of Year Adjustment, Adjust Opening Balances, or Beginning Balance. The system prints an N, A, AO, or UO.

Transaction Description

The description entered on the transaction entry form.

General Ledger Revenues

All revenues for general ledger accounts. For functional currency, this data was entered using the Transactions>Enter Cash Receipts, Enter Cash Disbursements, Enter Journal Vouchers; Activities>Check Writing>Write Checks, Void Checks/Vouchers/Invoices; Activities>Payroll>Enter Manual Checks, Print/Email Checks and Vouchers, or Void Checks forms. For non-functional currency, the system calculates this amount by multiplying the Source General Ledger Revenues times the Exchange Rate.

Account Receivable Revenues

All revenues for accounts receivable accounts. For functional currency, this data was entered using the Transactions>Accounts Receivable>Enter A/R Invoices, Enter A/R Receipts, Enter A/R Credits; or Edit A/R Invoices forms. For non-functional currency, the system calculates this amount by multiplying the Source Accounts Receivable Revenues times the Exchange Rate.

Account Payable Revenues

All revenues for accounts payable accounts. For functional currency, this data was entered using the Transactions>Accounts Payable>Enter A/P Invoices, Enter Manual A/P Checks, Enter A/P Credits; Edit Pay Selected A/P Invoices; or Activities>Check Writing>Void Checks/Vouchers/Invoices forms. For non-functional currency, the system calculates this amount by multiplying the Source Accounts Payable Revenues times the Exchange Rate.

Payment Method

The form of payment selected on the Receipt Writing form using Activities>Receipt Writing or Enter A/R Receipts form using Transactions>Accounts Receivable>Enter A/R Receipts.

Source Currency

The source currency type of the transaction, such as USD, MXN, or CAD.

Source Currency Description

The description associated with the currency, such as US Dollar, Mexican Peso, or Canadian Dollar.

Exchange Rate

The exchange rate associated with the transaction. Exchange rates were entered using the Maintain>Multicurrency>Exchange Rates form. This is only used with non-functional currency sessions.

Source General Ledger Revenues

All revenues for general ledger accounts. This data was entered using the Transactions>Enter Cash Receipts, Enter Cash Disbursements, Enter Journal Vouchers; Activities>Check Writing>Write Checks, Void Checks/Vouchers/Invoices; Activities>Payroll>Enter Manual Checks, Print/Email Checks and Vouchers, or Void Checks forms.

Source Account Receivable Revenues

All revenues for accounts receivable accounts. This data was entered using the Transactions>Accounts Receivable>Enter A/R Invoices, Enter A/R Receipts, Enter A/R Credits; or Edit A/R Invoices forms.

Source Account Payable Revenues

All revenues for accounts payable accounts. This data was entered using the Transactions>Accounts Payable>Enter A/P Invoices, Enter Manual A/P Checks, Enter A/P Credits; Edit Pay Selected A/P Invoices; or Activities>Check Writing>Void Checks/Vouchers/Invoices forms.

Billing Contact Title

The title for the billing contact person, such as Ms. or Mr.

Billing Contact Name

The name of the billing contact.

Billing Contact Position

The billing contact's position, such as Sales Rep or Owner.

Billing Contact Email

The email address for the billing contact.

Billing Voice Number

The billing contact's voice telephone number.

Billing Fax Number

The billing contact's fax number.

Billing Address

The street or post office address of the billing contact.

Billing City

The city of the contact.

Billing State/Prov.

The state or province of the contact.

Billing Postal Code

The ZIP or postal code.

Billing Country

The country of the contact.

{User Defined Field} - Vendors

A vendor type user defined field and its data. There is a separate column for each field.

{User Defined Field} - Customers

A customer type user defined field and its data. There is a separate column for each field.

{User Defined Field} - Transaction Documents

A transaction documents type user defined field and its data. There is a separate column for each field.

{User Defined Field} - Transaction Lines

A transaction lines type user defined field and its data. There is a separate column for each field.

{User Defined Field} - {Segment Name} Code

A segment 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 designate the Group Sets for the report. Groups provide an alternate way of reporting summarized accounting data. Selecting a group code on the report is the same as filtering by group code on the entire report. Any accounts not included in a Group Set will not be included in the report. In order for groups to be applied to the report, the group selected on the Groups tab must also be selected in at least one of the following: Content tab or Filter tab.

Use this tab to set up any Available Options for the report.

Options

Description

Year-End Adjustments

Select this option to include year-end adjustments on the report. This entry type was designated during transaction entry.

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.

Suppress Lines with All Zeros

Select this option so that documents with zero amounts do not print. This eliminates records having zero in all amount columns. If it is not selected, every line prints, even if it has a zero value.

This option only works with transaction line type user defined fields with a field type of currency.

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.

  • Only General Ledger Cash Account Types display on this report.
  • This report has three numeric columns (depending on if the Accounts Payable and Accounts Receivable modules are installed)—General Ledger Revenues, Accounts Payable Revenues, and Accounts Receivable Revenues. If you select only one numeric column on the Content tab (such as General Ledger Revenues), the report might contain zero amounts for General Ledger Revenues. This is because the report is designed to print all cash transactions. Therefore, the records related to Accounts Payable Revenues/Accounts Receivable Revenues are included in the report data with a zero amount. Select the Suppress Lines with All Zeros option to remove this amount from the report.
  • To print a total at each account combination level, select the Show Total box on the Content tab.
  • The functional currency was determined by the Administrator when the organization was created (File>New Organization>Functional Currency panel).