Vouchers by Project Options Tab

Use the Detail options to select the format, vendor, bank code, and payment currency for the report. Use the Time Frame options to select a time frame for the report.

Detail Options

Field Description
Format Select one of the following formats:
  • Voucher Detail: This setting displays voucher line detail for each vendor.
  • Voucher Summary: This setting displays a summary of voucher detail for each vendor.

    If you select either the Voucher Detail or the Voucher Summary format, the Bank Code option displays.

  • Vendor Summary: This setting displays totals for the vendor, without any voucher detail.

The format displays as part of the report name.

Vendor Selection Use the Vendor lookup to select one or more vendors for the report. You establish accounting information for each vendor, by company, on the Vendor tab of the Firms hub. The data on the report comes from the active company, which you can change on the toolbar.
Consolidate By Use this option to consolidate the phases or tasks for each project that is included in the report.
Bank Code This option displays in the Detail Options section on the Options tab when you select either the Voucher Detail or the Voucher Summary option in the Format field.

To include only the vouchers that were posted to a specific bank code, use this option to select the bank code. The report displays only those vendors with vouchers posted to that bank code. If you use multiple companies, the list contains only those bank codes that are valid for the active company. This is based on the organization code specified in Organization on the Options tab in Settings > Cash Management > Banks).

Liability Code This option is available in the Detail Options section on the Options tab only if you select either the Voucher Detail or the Voucher Summary option in theFormat field.

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 includes only those liability codes that are valid for the active company. This is based on the organization code specified in Organization in the Liability Codes grid on the Liability Accounts tab in Settings > Cash Management > Accounts Payable.

Payment Currency To limit the data displayed on the report to amounts that have a certain payment currency, use this option to select the currency. 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 in Settings > General Ledger > Chart of Accounts. The currency for the bank code is the currency selected for that account.
Include Select one of the following settings to determine which vouchers are included on the report, based on voucher payment status:
  • All
  • Paid in Full
  • Unpaid

If you select Paid in Full, specify a date in the corresponding Since field.

Exclude if Paid Prior To 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 accounting period that you specify.

Time Frame Options

Field Description
Time Frame
Use these options to specify the time frame for data included on the report.
  • Current Period: The report shows data for the active accounting period.
  • Year-to-Date: The report shows data for the current fiscal year through the active accounting period.
  • Job-to-Date: The report shows data from the beginning of the project through the active accounting period.
  • Date Range: The report shows data for a date range that you specify. Vantagepoint examines transactions within the specified date range, regardless of the period in which the transactions were posted or the dates of the current active period. Enter the start and end dates, or click the calendar icons to select the dates.
  • Period Range: The report shows data for a range of accounting periods that you specify.