Order Tax Reconciliation per Account
Explanation
Use this activity to view or print a report that shows, for each account, the
debit and credit balances of all taxable transactions, along with the tax codes.
Prerequisites
The activity requires that tax transactions exist.
System Effects
As a result of this activity, the specified report is displayed or printed.
Window
Order Report
Related Window Descriptions
Order Report
Procedure
- In the Report list, click Tax Reconciliation per Account.
- On the Report Parameters tab, enter the selection criteria for the
report. Specify the company; accounting year and period; tax code; and range
of voucher types, voucher numbers, voucher dates, and accounts.
- If you want the report to include voucher details, click Yes in the Print
Detail row. When you choose to include details, the report displays each
voucher as a separate row. The total debit and credit balances for the
taxable amounts and accounts are displayed for each voucher.
- Click OK. The Print Report dialog box appears.
- Click Print to print a paper copy of the report, or click Preview to see
the report on the screen.