Paid/Unpaid Report
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This program will provide the means to prevent changes or new transactions for a specific month after all reports have been verified and the bank reconciliation has been completed. Users may also view which months have been closed.
- Select Funds/Lists/Paid Unpaid Report from the left side of the screen.
- The Setup box will appear.
- The District and School will appear in the setup box based on your security settings.
- You may select a single Vendor or a group of vendors.
- The check box will limit the list of vendors to only those that have a value in the Supplier number field on the Vendor Editor program.
- Select the Account or group of accounts to be selected for this report.
- Select the date range from date.
- Select the date range to date.
- Click OK.
Definitions of Column Headings
- Vend No--The number assigned to a vendor.
- Account No--The account/fund from which the vendor was paid.
- Account Name--The of the account from which the vendor was paid.
- Pay Date--The calendar date of the transaction.
- Ref No--The information found in the Ref No field on the transaction.
- Ck No--The check number that was entered on check transactions.
- PO--Purchase Order
- Amount--The dollar amount of the posted entry.
To Print this Report
- Click the Print button at the bottom of the screen.
- A popup will appear with a set of document print options--PDF, XLS, CSV, HTML.
- The default print option will be PDF.
- Click the print button on this popup and a print preview window will appear.
- To get the print icon on this window, hover the mouse in the bottom right area of the preview. A grey rectangle will appear with several icons.
- Click the print icon at the right end of this rectangle. Another print preview will appear.
- Click the print button at the top left to print the report. Close the print preview.