IdealWare Online Users ManualGL3-01 G/L INQUIRIES |
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│06/22/07 GENERAL LEDGER INQUIRY FROM 06/01/07 THROUGH 06/22/07 │ │────────────────────────────────────────────────────────────────────────────────│ │COMPANY...... 01 D E M O C O M P A N Y │ │DIVISION..... __ │ │ACCOUNT...... │ │SUB-ACCOUNT.. │ │────────────────────────────────────────────────────────────────────────────────│ │SUB. PERIOD JRN. DATE SOURCE SEQ# REF# DEBIT CREDIT │ │────────────────────────────────────────────────────────────────────────────────│ │ │ │ │ │ │ │ │ │ │ │ │ │ │ │ │ │ │ │ │ │ │ │ │ │ │ │ENTER F3 FOR DATE, F4 TO END, F5 FOR INQUIRY. │ │ │ └────────────────────────────────────────────────────────────────────────────────┘ |
Enter the desired division code.
[F3] to reenter dates.
[F4] to exit to menu.
[F5] to display list for selection.
Enter the desired account code.
[F5] to display list for selection.
Enter the desired sub-account.
This prompt requires entry only if the account code entered has sub-accounts.
Example G/L Inquiry Transactions display:
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│Jun22/07 GENERAL LEDGER INQUIRY FROM Jun01/07 THROUGH Jun22/07 │ │────────────────────────────────────────────────────────────────────────────────│ │COMPANY...... 06 DEMO COMPANY │ │DIVISION..... 00 THE IDEAL COMPUTER GROUP INC. │ │ACCOUNT...... 1000 BANK ACCOUNT │ │SUB-ACCOUNT.. │ │────────────────────────────────────────────────────────────────────────────────│ │SUB. PERIOD JRN. DATE SOURCE SEQ# REF# DEBIT CREDIT │ │────────────────────────────────────────────────────────────────────────────────│ │ BALANCE FORWARD BEFORE Jun01/07: 5,978.62 │ │ 2007/06 DM Jun01/07 DM2075 3537 cC23855 5,226.03 │ │ 2007/06 DM Jun01/07 DM2077 3650 cC23856 500.00 │ │ 2007/06 DM Jun01/07 DM2077 3651 cC23857 500.00 │ │ 2007/06 DM Jun01/07 DM2077 3652 cC23858 500.00 │ │ 2007/06 DM Jun01/07 DM2077 3653 cC23859 500.00 │ │ 2007/06 DM Jun01/07 DM2077 3654 cC23860 317.06 │ │ 2007/06 DM Jun01/07 DM2077 3655 cC23861 500.00 │ │ 2007/06 DM Jun01/07 DM2077 3656 cC23862 500.00 │ │ 2007/06 DM Jun01/07 DM2077 3657 cC23863 500.00 │ │ 2007/06 DM Jun01/07 DM2077 3658 cC23864 500.00 │ │ 2007/06 DM Jun01/07 DM2078 3668 cC23865 237.42 │ │ │ │** PRESS CR FOR NEXT SCREEN, F2 TO SCROLL TO END, F4 TO SKIP TO END: │ │ │ └────────────────────────────────────────────────────────────────────────────────┘ |
OPTIONS
After you enter an account code one of the following prompts will appear.
1. When there are more transactions than can be displayed on one screen:
[Enter] to display the next screen of transactions.
[F2] to display all transactions to the end.
The transactions display one after another without pause until the final page of transactions, where option prompt 2 is displayed.
[F4] to jump to the final screen display.
Option prompt 2 is displayed.
2. When there are no further transactions to display:
[F1] to return to the DIVISION field.
You can inquire upon another account. Press [Enter] to remain in the same division or enter a different division code and then the desired account code.
"P" to queue this account for printing.
The account information will print when you exit the program.
FIELDS
Displays the batch number and indicates where a transaction came from.
Displays the transaction date.
If the transaction was automatically updated via another program module, the description will indicate which module performed the update. If the entry was posted through the JOURNAL ENTRY program, the description as keyed in during the posting will be displayed here.
Displays the transaction amounts in their respective columns.
If the transaction was automatically updated via another program module, the first two characters from the source code are displayed here. If the entry was posted through the JOURNAL ENTRY program, the reference that was keyed in during the posting is displayed here.