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Reconciliation Clearing Account Reconciliation Report

The Reconciliation Clearing Account Reconciliation report is used to show cash receipts and disbursements in reconciliation clearing that do not have a matching reconciliation. Conversely, the report also shows reconciliations in reconciliation clearing that do not have a matching cash receipt or disbursement.

To Generate an Reconciliation Clearing Account Reconciliation Report

  1. On the Primary menu, click REPORTS.
  2. On the REPORTS menu, click Reports. The Nexsure Reports dialog box is displayed.
  1. In the Report Type list, select Accounting.
  2. In the Report Category list, select Reconciliation.
  3. In the Available Reports list, select Reconciliation Clearing Account Reconciliation.
  4. Click OK. The summary tab is displayed showing the report selected in the header area.
  1. On the Navigation Toolbar, click New Report Criteria to go to the Nexsure Reports > Report Criteria dialog box.
  1. Under Organization Info, click [Select]. The Nexsure Organization Criteria dialog box is displayed.

  1. In the Nexsure Organization Criteria dialog box, select the desired organization information (in the Region, Territory, Branch, Department, and Unit lists) to query for the report and click Add.  

Note: If the report is being run for the entire organization it is not necessary to make a selection in the Nexsure Organization Criteria dialog box. Only one Region, Territory, or Branch may be selected for each report. When filtering by Department or Unit, add the Branch first then add the Department or Unit.

Once information has been added to the Include list, it can be removed by selecting the item and clicking Del to remove individual items or Clear to remove all items.

  1. If the organization information is correct, click OK. The organization information selected is added to the Nexsure Reports > Report Criteria screen.
  2. In the Date Information area, select date filters. Date filters are used to set the beginning and ending date of the report.

The available options are:

  1. In the Group/Sorting Options area, select the grouping and sorting options that affect the layout of the report.

The available options are:

  1. In the Report Format Options area, select one of the options in the Format Type list.

The available formats are:

  1. PDF: This is the default setting that creates the report in a PDF format. The report data is static and cannot be manipulated.
  2. XLS: Microsoft® Excel® document that can be manipulated as an .xls file. The report is generated with the same formatting used in the PDF format so cells are merged and data may not be stored in individual cells.
  3. DOC: Microsoft® Word document that can be manipulated as a .doc file.
  4. XLS (unformatted): Microsoft® Excel® document that can be manipulated as an .xls file. The report is generated with no formatting so cells are not merged and data is stored in individual cells, however column headers do not appear and page breaks are not inserted.
  5. In the Nexsure Reports > Report Criteria dialog box, click OK. The Reconciliation Clearing Account Reconciliation report will start compiling.
  1. To update the compiling status, click Refresh on the Navigation Toolbar.
  1. Once the report Status is Complete, click the View icon to view the report. 

Related Topic

Working with Reports