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To print the accounts payable balance report:
- From the Toolbar, click ACP for Accounts Payable.
- From the Accounts Payable menu, select Account Processing, and then select A/P Balance Reports.
- Select Print A/P Balance Report.
- Select A/P Balance Due Report - Alphabetical by Name.
- In the Name Id Beginning and Ending boxes, click Lookup or type * and press Enter, and then select the name id, or type the name id you want to print the balance due report for.
- In the Location Code Beginning and Ending boxes, click Lookup or type * and press Enter, and then select the location code, or type the location code you want to print the balance due report for.
- In the Name Id Description Beginning and Ending boxes, type the name id description you want to print the balance due report for.
- In the Reserved box type * and press Enter, select a value selection criteria.
- Click OK.Click OK.
- In any of the Opt boxes, type an Option Code , and then type an amount that the Option Code will qualify with.
- Click OK.
- In the Subtotal Option Box, type a subtotal option for Name Id Description, Name Id Number or Location Code.
- In the Legend Line Box, type a comment that will print at the top of the report. For example, the intended recipients name to help with distribution of the report.
- In the Print A/P Balance Detail? box, type Y to include individual detail lines, or type N to summarize numeric values at the subtotal level only.
- In the Print Grand Total Information? box, type Y to accumulate numeric values for grand totals and indicates the total number of records included in the report, or type N to print without accumulating grand total information.
- In the Replace Name Id Number with Alternate Name Id#? box, type Y to print the report with Alternate Name Ids instead of the Actual Name Id, or type N to print the report with the actual name Id.
- Click OK.
- In the Print Voucher/Disbursement Detail? box, type Y to print the voucher or disbursement detail, or type N to omit the detail.
- In the Print Accounts With Zero Balance? box, type Y to include the accounts with zero balances, or type N to omit the accounts with a zero balance. Accounts with zero balance due are included if they contain unapplied disbursements or prepayments.
- In the Calculate G/L Reconciliation Balance? box, type Y to specify the date to calculate balances and to determine the open A/P balance for reconciliation to the balances in the general ledger for a specific historical date, or type N to skip the calculation.
- In the Amount Due Calculation Date box, type the date that you want to calculate the amount due for.
- Click OK.
- In the Printer box, type the number associated to the place you want your report to print to.
- In the Print Type box, type the number associated to the characters per inch to print the report in. The default for this box is 1.
- In the Copies box, type the number of copies of the report you want to print. The default for this box is 1.
- In the Pages From and To boxes, type the page number range you want to print the report for. Leave the boxes blank to print all pages.
- Click OK.Press Esc until the Toolbar becomes active.
Learn more about the Account Processing feature:
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