Suspense Item Report [R0208]
LeasePak menu: Reports, Operational Management [R02]
Corresponding End of Period process: None
Related to Suspense Review [R0203]
Provides information on Suspense items based on user's choice of selection criteria. Requires the
Suspense Accounting/Reporting Enhancements
module (part of the JULE Fund 1999 package).
Add or change suspense items using Suspense [U0109]. Many other LeasePak functions create and use suspense items, including payments and payment reversals and payoffs, terminations, and payoff/termination reversals.
From the LeasePak main menu, select Reports, Operational Management [R02], Suspense Item Report [R0208].

Suspense Number
- Leave this field blank and click OK to bypass reporting on a single Suspense item. To report on a single item, type the number of the item, or click
and select an item from the list.
Click OK to continue or Cancel to exit the report.

Lessee
- Leave this field blank and click OK to bypass reporting on a single Lessee. To report on a single Lessee, type the Client number of the Lessee, or click
to use
Client Search.
Name
- After you select a Lessee and click OK, LeasePak displays the Lessee Short Name.
Click OK to continue or Cancel to return to the previous screen.

Field Descriptions
All
- Select this to report on suspense items from all portfolio/company/region/office (PCRO) accounting units, grouped by PCRO. Do not select this if you are specifying a particular PCRO to report on.
All Cust
- Select this to report on suspense items from all Customers, grouped by Customer/Group. Do not select this if you are specifying a particular Customer or Customer/Group to report on.
Port
- Type the portfolio number to report on, or click
to select from the list.
Comp
- Requires that you enter a portfolio number. Type the company number to report on, or click
to select from the list.
Regn
- Requires that you enter a portfolio/company number. Type the region number to report on, or click
to select from the list.
Offce
- Requires that you enter a portfolio/company/region number. Type the office number to report on, or click
to select from the list.
App-Lease
- Type the application or lease number you wish to report on, or click
to look up the number using
Client Search.
Customer
- Type the Client number of the Customer you wish to report on, or click
to use
Client Search.
Group
- Requires that you enter a Customer number. Type the Customer's Group number to report on, or click
to select from the list.
Click OK to continue or Cancel to return to the previous screen.

LeasePak displays these fields if you select a Lessee, a PCRO, an application or lease, or a Customer or Customer/Group to report on.
Field Descriptions
Open Suspense Items
- Select this option to report only on open (not yet applied or cleared) suspense amounts. You must select either the Open, Closed, or All Suspense Items option.
Closed Suspense Items
- Select this option to report only on closed (applied or cleared) suspense amounts. You must select either the Open, Closed, or All Suspense Items option.
All Suspense Items
- Select this option to report on both open and closed suspense amounts. You must select either the Open, Closed, or All Suspense Items option.
All
- Select this to report on suspense items regardless of when they were placed in suspense. Do not select this if you are specifying a particular date range to report on.
Start Date
- If not selecting all dates (see the All field), specify the start of the date range regarding when items were placed in suspense. Type a date in either MM/DD/YY or DD/MM/YY format, depending on the Date Format Preference field in your Security [U0706] settings.
End Date
- If not selecting all dates (see the All field), specify the end of the date range regarding when items were placed in suspense. Type a date in either MM/DD/YY or DD/MM/YY format, depending on the Date Format Preference field in your Security [U0706] settings.
Operator Initials
- To report on suspense items created by a particular user, type the user's initials, or click
to select from the list.
Group by Bank Acct
- For Multiple Banks users. Select this to group results by general ledger bank (cash account) number.
Click OK to run the report or Cancel to return to the previous screen.

Field Descriptions
Listed in alphabetical order by displayed field name. To find a field description, locate the field name on the screen display, then look it up alphabetically in the list below.
Clr Acct
- If the Remaining Balance of the suspense item is zero, the report displays the general ledger account the
amount was transferred to, either directly or as a result of being applied to a receivable or cleared to a check.
Company
- LeasePak displays the company associated with the suspense item.
Date Cleared
- If the Remaining Balance of the suspense item is zero, the report displays the date when the last of the item
was used (applied to a receivable or cleared to a check or general ledger account), either in MM/DD/YY or DD/MM/YY format depending on the
Date Format Preference field in Security [U0706].
Lease
- The report displays the lease or application number the suspense item is attached to.
Office
- LeasePak displays the office associated with the suspense item.
Operator From
- The report displays the initials of the user who initially placed the item in Suspense.
Operator To
- If the item was assigned to another user through Session, the report displays the initial of
that user.
Portfolio
- LeasePak displays the portfolio associated with the suspense item.
Region
- LeasePak displays the region associated with the suspense item.
Remaining Balance
- The report displays the remaining amount for the suspense item, which will be less than the original amount if part of the item has been applied to
a receivable or cleared to a check or general ledger account.
Report
- LeasePak displays the menu number identifying the report.
Selected Suspense
- LeasePak displays the number of the suspense item it is reporting on.
Susp Acct
- If you are using the Multiple Banks module,
the report displays the cash account used to place the item in Suspense.
Susp Date/Eff Date
- The report displays the date the item was placed in suspense in either MM/DD/YY or DD/MM/YY format, depending on the
Date Format Preference field in Security [U0706].
Susp Item
- The report displays the number of the suspense item.
Suspense Amount
- The report displays the original amount of the suspense item.
Suspense Type/Check Num
- The report displays the name of the update--such as Payment, Payoff, or Suspense--used to create the suspense item, as well as the check number
(if any) associated with the suspense item.
Total Bank Acct
- If you are using the Multiple Banks
module, the report displays totals for each cash account listed under Susp Acct.
User ID
- LeasePak displays the name of the user running the report.
Click Done to finish viewing the report, then Cancel to exit the selection criteria screen.
LeasePak Documentation Suite
©
by NetSol Technologies Inc. All rights reserved.
The
information contained in this document is the property of NetSol Technologies Inc.
Use of the information contained herein is restricted. Conditions of use are subject
to change without notice. NetSol Technologies Inc. assumes no liability for any inaccuracy
that may appear in this document; the contents of this document do not constitute
a promise or warranty. The
software described in this document is furnished under license and may be used
or copied only in accordance with the terms of said license. Unauthorized
use, alteration, or reproduction of this document without the written consent
of NetSol Technologies Inc. is prohibited.
Your document is loading...
This message should disappear within 5-15 seconds, depending on the size of the document and the speed of your connection to the Documentation Suite.
If you can still see this message after 20 seconds, try clicking the Refresh or Reload button on your Web browser.
If your document still does not load, refer to Document Load Troubleshooting for instructions on how to fix possible problems with either your Documentation Suite installation or Web browser setup.
If you do not have read access to the parent docsuite directory, you will not be able to load the Document Load Troubleshooting document. In this case, contact your network administrator for assistance.