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:

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

 

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:

 

Additional Information

The following are the General Ledger accounts which may appear on this report:

A General Ledger account does not appear on the report if there is no General Ledger balance and no detail record total.

 

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