Contents of the Print Cash Receipts Register Report Screen
Use the fields and options to configure the Print Cash Receipts Register Report screen.
Identification
Use the fields in this block to create a new parameter ID or to retrieve a previously saved parameter ID. A parameter ID represents a set of screen selection parameters. After you have saved a parameter ID and its related parameters, you can retrieve them using Query.
You can use the retrieved parameters to produce reports and run processes more efficiently and with greater consistency. The saved parameters are also useful and necessary when you want to run the process as part of a batch job. Many users save a unique set of parameters for each different way they run a report or process. When you select a previously saved parameter ID or parameter description, the associated saved screen selection parameters automatically display as selection defaults. The page setup and print options, if there are any, are also included in the saved parameter ID. You can change any of the associated selection defaults as necessary.
Field | Description |
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Parameter ID |
Enter, or click to select, a parameter ID of up to 15 alphanumeric characters. Choose characters for your parameter ID that help identify the type of selections you made on the screen, such as PERIOD or QUARTERLY. When you save your record, all the selections made on the screen are stored with the parameter ID. Later, you can retrieve the parameter using Query. You can use the parameter to run the process more efficiently because you can select the parameter ID with its previously defined screen selections. After the default selections display on the screen, you can override the defaults. |
Description |
Enter, or click to select, a parameter description of up to 30 alphanumeric characters. |
Selection Ranges
Period
Field | Description |
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Option |
From the drop-down list, select the range of periods that you want to include in the report. You can enter a range of periods that cross fiscal years. When you enter cash receipts, you enter a fiscal year/period/subperiod in the header of the record. The fiscal year/period/subperiod entered will determine the year/period/subperiod to which the cash receipt will be posted. The Cash Receipts Register report includes cash receipts entered or posted (depending on the report selection) that are within the range of fiscal years/periods/subperiods selected. All cash receipts entered or posted within the range of the fiscal year/period/subperiod selected are included on the report regardless of the receipt date. The options are:
|
Fiscal Year (Start) |
Enter, or click to select, the starting fiscal year for the cash receipts to be included on the report. |
Period (Start) |
Enter the starting period to include in the report, or click to select a period. If you select All or From Beginning in the Period Option field, the Start Period field is unavailable. |
Subpd (Start) |
Enter the starting subperiod to include in the report, or click to select a period. If you select All or From Beginning in the Period Option field, the Start Subpd field is unavailable. |
Ending Date (Start) |
After you enter subperiod numbers, the ending dates (including the month, day, and year) of the selected subperiods display to the right of the SubPd (Start) field. |
Fiscal Year (End) |
Enter, or click to select, the ending fiscal year for the cash receipts to be included on the report. |
Period (End) |
Enter the ending period to include in the report, or click to select a period. If you select All, One, or To End in the Period Option field, the Period (End) field is unavailable. |
Subpd (End) |
Enter the ending subperiod to include in the report, or click to select a subperiod. If you select All, One, or To End in the PeriodOption field, this field is unavailable. |
Ending Date (End) |
After you enter subperiod numbers, the ending dates (including month day and year) of the selected subperiods display in the Subpd (End) field. |
(Select Grouping)
Use this row to create a report by selected Accounts Receivable items.
Field | Description |
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(Select By) |
From the drop-down list, choose the criteria by which to limit the cash receipts on the report. The options are:
|
Option |
From the drop-down list, select the range for the grouping that you want to print. For example, if you select Account in the first field, select the range of accounts to be included on the report. The options are:
|
Start |
Enter, or click to select, the starting value for the range that you want to include in the report. If you select All or From Beginning in the Option field, the Start field is unavailable. |
End |
Enter, or click to select, the ending value for the range you want to include in the report. If you select All, One, or To End in the Option field, the End field is unavailable. |
Pay Currency
Use this row to specify a range of pay currency codes to further limit the cash receipts to include in the selection routine. If you do not want to further restrict the selection process, leave the Option set to All.
Field | Description |
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Option |
From the drop-down list, select the range of pay currencies to include on the report. The pay currency is the currency in which the cash receipt was recorded. The options are:
|
Start |
Enter, or click to select, the starting pay currency code for the range to include in the report. When you select All or From Beginning in the Option field, this field is unavailable. Only those currencies that are saved on the Manage Currencies screen in Costpoint Multicurrency are available in . |
End |
Enter, or click to select, the ending pay currency code for the range to include in the report. If you select All, One, or To End in the Option field, the End field is unavailable. Only those currencies that are saved on the Manage Currencies screen in Costpoint Multicurrency are available in . |
Options
Select Posting Status
Field | Description |
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Posted and Unposted |
Select whether you want to print this report for Posted or Unposted cash receipts by choosing the appropriate option. If you print this report for posted receipts, the report pulls data from the AR_HDR_HS and AR_DETL_HS tables. If you print this report for unposted (open) cash receipts, the report pulls the data from the CASH_RECPT_HDR and CASH_RECPT_TRN tables. Note: You can only select one posting when you print the report. If you need to include both posted and unposted cash receipts, you must print the report several times.
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Show
Field | Description |
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Receipt Detail |
Select this check box to show detail by transaction. If this check box is cleared, the report summarizes data by receipt. |
Amounts In Thousands |
Select this check box to print amounts summarized by thousands. |
Sort By
add description
Field | Description |
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1st Sort |
From the drop-down list, select whether you want to sort by one of the following:
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Page Break |
Select this check box to insert a page break after each primary sort item. Note: The report parameters specified can be optionally saved for future use. To save the selected report parameters, click
on the toolbar after you have entered your report selections. Enter an appropriate ID and description for the report, and click
OK to save. Stored report parameters are especially useful if reports are to be run through Process Manager.
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