Generate Period Information

Explanation

This activity is used to generate the selected period for the current journal, or for all the journals. The debit and credit amounts from the vouchers relevant to the period, are fetched, summed up and displayed in the Total Debit and Total Credit columns respectively. This activity will not be available when the accounting journal voucher rows are sorted by sequence number.

Prerequisites

In order to perform this activity:

System Effects

As a result of this activity:

Window

Accounting Journals

Related Window Descriptions

Accounting Journals

Procedure

  1. Open the Accounting Journals window.
  2. Select the accounting period line for which the period information has to be generated, right-click and then click Generate Period Information. This will generate the period information only for the accounting Journal displayed in the Journal Id.
  3. To generate the period information for all accounting journals, select the accounting period line, right-click and then click Generate Period Information for all accounting journals. This will generate the period information for the relevant period not only for the accounting journal displayed in the journal ID but for all the accounting journals that have been defined for the accounting year as well.