General Ledger Check Information

The General Ledger Check Information Report lists information about checks that have been processed in Accounts Payable and Accounts Receivable. This information transfers to the General Ledger from A/R and A/P when you post the distribution journals.

You can produce this report for a range of accounts, transaction dates, references, customers/vendors, invoices/vouchers, checks, check dates, and transactions.

The report includes the following information:

You can optionally include transaction text and internal and external notes in the report.

The report provides a breakdown per transaction, and includes the totals of all debits and credits for each account in the selected range.


Related Topics

Reports Overview