Frequently Asked Questions!
Out of Office
How do I stop a user posting to prior and future periods?
De-allocate an AP Payment
How to stop over receipting of orders
Why has my transaction not appeared on the AP Payment run?
Download Templates
Useful information to include when raising Financials cases
Release notes 2024
December 2024
November 2024
October 2024
September 2024
August 2024
July 2024
June 2024 Release
May 2024
April 2024
March 2024
February 2024
January 2024
Hints and Tips!
General Ledger - Helpful how-to guides
GL Enquiries - Transaction Enquiries
GL Enquiries - Balance Sheet & Profit and Loss
GL Enquiries - Account Details
Trial Balance
Close the GL Period
Closing a Year & Closing the Last Year Adjustment Period
Closing Module Periods
Accounts Payable - Helpful how-to guides
Supplier creation
Supplier and Transaction Diary Messages
AP Enquiries
Order Related Invoice - Mismatch Scenarios
AP Authorisation Setup
Mismatch Types
Invoice and Credit Note Matching
Payment Processing
Create a manual payment
AP Payment Cancellation
Retrospective Aged Creditors
Sundry Supplier setup and processing
Accounts Receivable - Helpful how-to guides
Create & Copy Invoices/Credit Notes
Contracts
Customer Statements
Retrospective Aged Debtors
Cash Allocation
Diary Notes, Queries and Disputes
Customer Enquiries
Dunning Process
Purchasing Management - Helpful how-to guides
Fixed Assets - Helpful how-to guides
Prompt File - Asset Creation
Join Prompt File Items
Fixed Assets Period End & Depreciation
Revaluation
Disposals
Relife
Reconciliation process - Helpful how-to guides
Accounts Receivable Reconciliation Reporting
Accounts Payable Reconciliation Reporting
Daily Checks
Fixed Assets Reconciliation Reporting
General Ledger Reconciliation Reporting
Purchasing Management Reconciliation Reporting
Reporting
General Ledger Reports
Accounts Payable Reports
Accounts Receivable Reports
Sales Invoicing Reports
Fixed Assets Reports
Bank Reconciliation Reports
Import Tool Kit
Procurement Portal
New User Interface
Release Notes - Previous years
Contents
- All categories
- Reporting
- Sales Invoicing Reports
Sales Invoicing Reports
Updated by Caroline Buckland
Ad Hoc Reports
SI1.1 Invoices by GL Account – Ad Hoc View Report
Displays a list of Invoices and Credit Notes line details with GL accounts for a selected year and period.
The report is linked to SI1.1 Invoices by GL Account – Ad Hoc View so you can take a copy, amend the fields and filters, and create a similar report that meets your requirements.
SI1.2 Top Invoices by Customer – Ad Hoc View Report
Lists the top X (selectable rank) Invoices by customer for the given GL Year/Period.
The report is linked to SI1.2 Top Invoices by Customer – Ad Hoc View so you can take a copy, amend the fields and filters, and create a similar report that meets your requirements.
SI1.3 Customer Invoices - Ad Hoc View Report
This produces a full list of Invoices and Credit notes grouped by Customer, Ledger and the Year which is used as a filter.
The report is linked to SI1.3 Customer Invoices - Ad Hoc View so you can take a copy, amend the fields and filters, and create a similar report that meets your requirements.