Field | Description |
Report Name
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You can change the default report name.
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Create Activity
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To create activities in the Activity Manager when you generate the report, select this check box.
Deltek displays the Activity dialog box so that you can enter information about the activity, including its type (email, phone call, meeting, touchpoint, and so on), primary contact, and date/time.
Deltek creates an activity for each record included on the report.
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Format
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Select one of the following formats:
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Voucher Detail: Displays voucher line detail for each vendor.
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Voucher Summary:Displays a summary of voucher detail for each vendor.
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Vendor Summary: Displays totals for the vendor, without any voucher detail.
The format displays as part of the report name.
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Include
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Select one of the following to include vouchers on the report based on payment status:
If you select
Paid in Full, specify a date in the
Since field.
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Since
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If you select
Paid in Full in
Include, specify a cut-off date in this field. Only vouchers that were paid in full on or after the date that you enter are included.
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Exclude if paid prior to
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Select a fiscal year and period as a cut-off date for displaying zero-balance invoices on this report. The report does not include vouchers that were paid in full prior to the specified accounting period.
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Liability Code
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To include only vouchers that were posted to a specific liability code, enter the liability code. The report displays only those vendors with vouchers posted to that liability code.
If you use multiple companies, the list of available liability codes only contains those that are valid for the active company. This is based on the organization code specified in
Organization on the Liability Codes tab of the Company AP Configuration form ().
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Bank Code
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To include only vouchers that were posted to a specific bank code, enter the bank code. The report displays only those vendors with vouchers posted to that bank code.
If you use multiple companies, the list of available bank codes only contains those that are valid for the active company. This is based on the organization code specified in
Organization on the Bank Codes tab of the Bank Codes form ().
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Vendor Selection
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Use the Vendor lookup to select one or more vendors for your report: Accounting information for each vendor is set up separately for each company on the Vendor tab of the Firms hub. The active company at the time that you generate the report determines the accounting information that is referenced for that report.
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Consolidate
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Select this option to consolidate the phases or the tasks for each project in your report.
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Payment Currency
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To limit the data displayed on the report to amounts with selected payment currencies, use the Currency lookup to select one or more currencies. The bank code determines the payment currency for both voucher amounts and payment amounts. When you set up a bank code, you select an account for which you have specified a currency code in the
Currency Code field on the General tab of the Accounts form (). The currency for the bank code is the currency selected for that account.
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Budget Source
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Select one of the following as the source of the budget data for the report:
- Budget Worksheet
- Project Planning (Resource Management)
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Page Break by Project
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Select this check box to begin a new page each time the project changes.
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