Use the Corporate Reporting Setup submodule to set up and configure corporate reporting options.
To use the Corporate Reporting Setup submodule, you must have access to
Settings as defined in the Employee cross-company access submodule under
Settings.
To create a corporate reporting setup:
-
On the main toolbar, click
Settings
.
-
If you have more than one company in your system, use the drop-down list above the left pane of the Settings screen to select the company for which you want to create a corporate reporting setup.
-
In the left navigation pane of the Settings screen, click
.
-
On the grid toolbar, click
Create new reporting setup
.
-
In the Create New Reporting Setup dialog box, specify a name and click
OK.
WorkBook displays the new reporting setup in the drop-down menu on the grid toolbar.
-
Create a reporting setup group.
-
On the grid toolbar, click
Create new reporting setup group
.
-
In the Create New Reporting Setup Group dialog box, specify a name and click
OK.
WorkBook displays the item in the grid.
-
To add a comment, double-click the
Comment cell and enter your comment.
-
Add finance accounts to a reporting setup group.
-
On the subgrid toolbar, click
Add row
.
-
In the subgrid, double-click the
From cell and select a finance account.
-
Double-click the
To cell and select a finance account.
-
In the grid, perform any of the following formatting steps:
- Double-click the
Format cell and select a format.
- Double-click the
Line no. cell and specify a line number.
- Select the
Bold check box to apply bold formatting.
- Select the
Italic check box to apply italic formatting.
- Double-click the
Tab cell and specify a number.
- Double-click the
Background color cell and select a color.