General Ledger Reconciliation
[R0403]
The General
Ledger Reconciliation report [R0403] provides a quick means to verify that the
system is in balance by comparing General Ledger account balances to the total
of the dollar amounts for each lease. This report should be run weekly.
The
report may be accessed through the Audit Control report menu [R04] and
may be selected interactively for:
- All
accounting units (portfolio, company, region, office)
- A
portfolio
- A company
- A
region
- An office
The
report may be automatically generated for each portfolio at the end of the month
through the End of Period update [U0401]. Use the End of Period MODULES
AND REPORTS screen under the End of Period Customizations
option of the Portfolio update [U0212] to specify whether the report is
created.
General
Ledger Reconciliation Selection
- ALL
Enter 'X' to report on all
accounting units (portfolio, company, region, and offices). Leave blank to report
on a specific portfolio, company, region and/or office.
- PORT
Enter the number of the
portfolio upon which to report. Leave blank if reporting across portfolios.
- COMP
Enter
the number of the company upon which to report. Leave blank if reporting across
companies.
- REGN
Enter the number of the
region upon which to report. Leave blank if reporting across regions.
- OFFIC
Enter
the number of the office upon which to report. Leave blank if reporting across
offices.
General
Ledger Reconciliation Report
The General Ledger Reconciliation
report [R0403] reports at the accounting unit (portfolio, company, region, and
office) level and provides the following information:
- GENERAL
LEDGER ACCOUNT NUMBER
The
number assigned to the General Ledger account is displayed.
- GENERAL
LEDGER ACCOUNT NAME
The
name of the General Ledger account is displayed.
- GENERAL
LEDGER BALANCES
The
account balance in each of the General Ledger accounts is displayed.
- DETAIL RECORD TOTALS
The associated dollar amount
on each lease record is summed and displayed. For accounts such as Inventory or
Account Payable, the dollar amount on each asset record is summed and displayed.
- DIFFERENCE
The difference between the
General Ledger account Balances and the Detail Record Totals is displayed. This
field should always be zero (0.00). If not, this DIFFERENCE between the GENERAL
LEDGER ACCOUNT and the DETAIL RECORD TOTALS should be reconciled immediately.
- TOTALS
Region, company, portfolio,
and grand totals for differences are shown for all accounting units. If one or
more offices in a region have different names and/or numbers for the same General
Ledger account, the NetSol default name and/or number for that account is displayed
for the region totals. The same is true for company totals, if region account
names and/or numbers are different, and for portfolio totals, if account names
and/or numbers vary between companies. An asterisk (*) next to the name or number
signifies that the default name or number is displayed. The default G/L account
names and numbers are provided by NetSol. Refer to the Office
G/L Change update [U0716] for the account names and numbers used by each office
and the corresponding NetSol default names and numbers.
Additional
Information
The following
are the General Ledger accounts which may appear on this report:
- Contract Receivable
- Unguaranteed
Residual - precomputed
- Lease
Income Receivable
- Unearned
Income
- Unearned ITC
- Vendor
Participation Unearned
- Investor
Participation Unearned
- Vendor
Receivable
- Security
Deposit Payable
- Principal
Outstanding
- Residual
- Simple
- Principal Receivable
- Leased
Equipment
- Operating
Lease Income Receivable
- Deferred
ITC
- Accumulated Depreciation
- Unamortized
IDC
- IDC1 - Unamortized
Insurance Premium
- IDC2
- Unamortized Notary Fee
- IDC3
- Unamortized Dealer (Vendor) Subsidy
- IDC4
- Unamortized Opening Commission
- Unbilled
Operating Lease Income
- Unbilled
Operating Lease Receivable
- Deferred
Operating Lease Revenue
- Inventory
- Accounts
Payable
- Deferred Extension
Income
- Deferred Residual
Reduction
- Suspended
Income Receivable (unbilled)
- Suspended
Income Accrued
- Suspended
IDC
- Unearned Residual
- Residual
Income Accrued PTD
A
General Ledger account does not appear on the report if there is no General Ledger
balance and no detail record total.
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
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