Search HansaManuals.com HansaManuals Home >> Standard ERP >> Nominal Ledger >> Exports Previous Next Entire Chapter in Printable Form Search This text refers to program version 8.5 Trial Balance This page describes the 'Trial Balance' Export function in the Nominal Ledger module.--- The 'Trial Balance' Export function in the Nominal Ledger exports closing balances for the specified period for each Account but not debit and credit subtotals. You can export the Trial Balance for the whole year or for an arbitrary part of the year to a tab-separated text file, and you can then import this information for example to an Annual Report generating program for further processing. You can specify whether figures in the Trial Balance will be positive or negative depending on Account Type. To do this, use the check boxes in column 2 in the Presentation of Balances setting. For example, exported figures for Asset Accounts will obey the Assets check box in column 2 in the Presentation of Balances setting. It is recommended that the check boxes in column 2 in this setting should all be ticked or not ticked. If only some of the check boxes in column 2 are ticked, the Trial Balance report will not balance. To export the Trial Balance, ensure you are in the Nominal Ledger, then open the 'Exports' list by clicking the [Routines] button in the Navigation Centre and the [Exports] button in the subsequent 'Routines' window. Then double-click 'Trial Balance' in the 'Exports' list to open the 'Specify Trial Balance Export' window.
--- Export functions in the Nominal Ledger and Integration modules:
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