Cash Requirements Report (APR710)
Using reports
Use the Cash Requirements Report program to obtain a report showing cash requirements for invoice payments for specified time periods.
You can specify these options.
- the order to print - vendor, alpha, or vendor class.
- the beginning and ending order choice.
- the branch(es) to print.
- the document group(s) to print.
- due date or discount due date as the date to determine in which time period the document falls.
- if documents on hold will print.
- a detail or summary version of the report.
- the status to print: active, inactive or all.
- print up to six time groupings.
- up to 99 days to be used for automatic date increments.
- the dates for the time groupings.
If you print the report based on discount due date, the report will deduct the allowable discount from the invoice.
Report formats include this information.
- Summary: The total amount due to each vendor within the specified time periods and the total balance for the vendor.
- Detail: For each vendor, all open documents that are due within the time periods specified. Each document number, due date, discount due date, amount and allowable discount are printed.
The report includes totals for each vendor and time period. Report totals are also included for each time period and all vendors listed. The total number of vendors listed is also included.
To access this program, click Accounts Payable>Reports & Prints>Cash Requirements Report.
Click field descriptions for information on each field.
Unform archiving
You can archive Cash Requirements Report information to Unform. The document ID is automatically generated as a sequential number and all copies are printed to the Unform Archive.
See Also
Using Reports
Using print options
Using report templates
Viewing reports on screen (using the viewer)
Using reports and prints as audit trails