Use the Journals tab to display:
- individual journals that have updated the account
- a running balance to keep track of the activity on the account.
Note: Many of the fields are blank or zero as they depend on the source of the transaction that created the journal.
Opening the Journals tab
To open the Journals tab:
- Select Module > General Ledger > General Ledger Maintenance from the main menu.
The Set General Ledger Search Criteria window is displayed.
Tip: You can also access General Ledger functions by clicking .
- Search for the general ledger account. See Searching for general ledger accounts (on page ).
The General tab of the General Ledger Maintenance window is displayed.
- Click the Journals tab.
The Journals tab of the General Ledger Maintenance window is displayed.
- Either:
- Type the G/L Year and click .
- Click on the up or down arrow on the G/L Year field.
Journals for the selected general ledger year are displayed.
Note: You can also filter on Sub Allocation Code if applicable to this G/L account.
General Ledger Maintenance - Journals tab key fields and buttons
Fields
Field |
Description |
---|---|
G/L Date |
Select to filter the G/L journals for the general ledger year.
|
Sub Allocation Code |
Further filter G/L journals, for the selected G/L Year, if sub-allocations are set up for this G/L account. |
Grid area fields
Field |
Description |
---|---|
Date |
Date of the general ledger journal. |
Journal Description |
Description of the journal. |
Amount |
Amount excluding tax. |
Local Amount |
The Amount displayed in the default currency. |
Tax Code |
Code used to determine the tax applicable to this journal. |
Tax |
Tax calculated using the Amount and the Tax Code values. |
Balance |
Running account balance. |
Posting No |
Number of the posting. |
Source |
Synergetic program that is the source of the posting. |
Order No |
Purchase order number. |
Receipt No |
Receipt number. |
ID |
Synergetic ID of the person or company that the transaction relates to. |
Name |
Name of the person or company that the transaction relates to. |
Seq |
Unique sequence number of the transaction. |
Sub Alloc |
General ledger sub-allocation code. |
Sub Alloc Desc |
General ledger sub-allocation description. |
Deb Tran |
Debtor transaction sequence. |
Cred Tran |
Creditor transaction sequence. |
Pay Code |
Payroll pay code. |
Sale Inv No |
Sale invoice number from the Sales module. |
Inv No Issued |
Invoice number issued from Debtors or General Ledger module. |
Inv Line Desc |
Line description printed on the invoice. |
Rvrs Jnl Seq |
Reversing transaction reference. |
Income |
Selected if this is an income transaction for tax purposes. |
Classif'n Code |
Classification code for tax purposes. |
Adjustment |
Selected if the journal adjusted tax for a prior period. |
BAS Posting |
Posting number if the transaction has been posted to the BAS. |
Buttons
Button |
Description |
---|---|
|
Display journals based on the selected:
|
|
Based on the Source of the general ledger journal, launch into the appropriate tab of the relevant maintenance function and select the corresponding charge.
|
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Launches an audit print preview for the posting the selected journal was created from.
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Launches the Edit Journal window. Use this window to change the Journal Description or the Sub Allocation Code. |