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Object Balances

This export is similar to the 'Trial Balance' export, but each Account balance is broken down to show subtotals for each Object.

Period
Paste Special    Reporting Periods setting, System module
Enter the start and end dates for the period to be covered by the export, separated by a colon.

Accounts
Paste Special    Account register, Nominal Ledger/System module
Range Reporting    Alpha
Use this field to restrict the export to a particular Account or range of Accounts.

Object
Paste Special    Object register, Nominal Ledger/System module
Range Reporting    Alpha
Enter a value in this field if you want to the export to contain Account balances for a certain Object. If the field is empty, the balances of all Account/Object combinations are exported. If you just need to export an overall balance for each Account, irrespective of Object, use the 'Trial Balance' export.

Incl. Simulations
Click this check box if you want the export to include simulated transactions. Simulation rows of "Invalid" and "Transferred" Status will not be included.

Detailed
The standard version of the text file produced by this export function is a list of balances for each Account/Object combination, sorted by Account. These are the opening balance, the period balance and the closing balance. Check this box if you want the export file to include a separate period debit balance and credit balance for each Account/Object.

Values in
If you are using the Dual-Base system, values in this report can be shown in either Base Currency. Use these options to choose which Currency is to be used on this occasion.

If you are not using the Dual-Base system, use the Base Currency 1 option to use your home Currency.