General Ledger Reports Overview
The general ledger reports in Vision Reporting help you present and monitor financial information. Some reports, such as the Balance Sheet, are standard financial reports. Other reports help you manage your company's finances. For example, the Profit Planning Monitor compares actual performance to corporate budgets.
Drill Down Tab for General Ledger Reports
The Options dialog box for each of the general ledger reports contains a Drill Down tab. Use this tab to specify the report values from which you can drill down when you view reports in the Preview window.
Values from which you can drill down appear as underlined links in the Preview window. Click an underlined value to display more detailed information related to that value.
Customizing General Ledger Reports Using Account Groups
You can make financial reporting more flexible if you set up a second level in your account group structure. If you create both summary account groups and detail account groups in the Account Info Center, you can generate both summarized versions and detailed versions of financial reports.
Multicompany
If you use the Multicompany feature, you can generate consolidated versions of some general Ledger reports. The consolidated reports combine data from multiple companies in your enterprise.
A general ledger report that contains information from multiple companies displays the following text in the report footer:
*** This report contains data from multiple companies ***
Related Topics
- Two Levels of Account Groups for Customizing General Ledger Reports
If you set up both summary and detail account groups in the Accounts Info Center, you have formatting options for your general ledger reports. For example, if you set up two levels of account groups, you can generate general ledger reports with the financial statement layouts used in the United Kingdom. - Custom Columns for General Ledger Reports
You can include up to 13 custom columns on the Balance Sheet, Income Statement, and Profit Planning Monitor reports. - Drilling Down from General Ledger Reports
Use the Drill Down tab to select types of data that you need to drill down. - Options Dialog Box
The settings on the tabs in the Options dialog box for a report determine what data the report contains, how the data is formatted, and the sequence in which the data appears. - Account Analysis
Use the Account Analysis report to get a detailed view of all general ledger activity for the reporting period. - Balance Sheet
The Balance Sheet displays the distribution of your firm’s assets, liabilities, and net worth as of the current date. The report also includes totals for assets, liabilities, net worth, and liabilities + net worth. Total assets should equal total liabilities plus net worth. If these totals do not agree, Vision displays the amount of the discrepancy at the end of the report. - Income Statement
The Income Statement provides a detailed statement of your revenue and expense account balances for the current period and year to date. The report also displays the firm’s current period and year-to-date operating profit or loss amounts. - Profit Planning Monitor
Use the Profit Planning Monitor to monitor performance against budgets. For each revenue and expense account, the report displays the budgeted and actual amounts for the current period and year to date. It also shows totals for actual and budgeted revenue and expense, and calculates actual and budgeted profit or loss. - Trial Balance
Use the Trial Balance report to verify that your debits equal your credits for the period.