GL Account Detail with Legal Entity Export

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The GL Account Detail with Legal Entity Export runs the system for all General Ledger account details so that the balance of an account can be reconciled over a date range. This export also includes the Running Total Net Change and Running Total by Period numbers for further data analysis.


Navigation

The My Reports search bar can be used to search R365's entire catalog of reports.

  1. Open the Reports app. 
  2. Navigate to My Reports
  3. Enter all or part of the report name in the search bar.
  4. The Results tab will open with the list of search results.
  5. From beneath the report name, click Run to run the report with the selected report view.
    -OR-
    Click Customize to adjust the report parameters and run the report. 



Report Parameters

Field/Column

Description

Legal Entity

A listing of all legal entities.

Location

A listing of all locations within the selected legal entity.

Start Date

The beginning date of this report.

R365 Best Practice
Due to the large volume of data in the GL Account Detail with Legal Entity Export, it is recommended to run this report in quarterly segments to prevent timeouts and ensure successful exporting of data.

Users can also use the OData connector for flexible data extraction and reporting.

End Date

The end date of this report.

Accounts

A listing of all GL accounts.

Show Unapproved

This will either show or hide unapproved transactions.

Include Stat Accounts

This will either include or exclude statistical accounts in the report.

Download Button

Downloads the report.


Report Columns

Field/Column

Description

Account

The GL account name and number.

Beg Bal Date

The date that the beginning balance was set.

Beg Bal Amount

The amount put in as the beginning balance.

Account Nbr

The number affiliated with the GL account.

Account Name

The name of the GL account.

GL Date

The date the transaction was posted to the general ledger.

Legal Entity Name

The name of the legal entity that is tied to the location.

Location Number

The uniquely-created number of the location affiliated with the transaction.

Location Name

The name of the location affiliated with the transaction.

Status

This is the status of the transaction (approved or unapproved).

Type

The type of transaction (journal entry, AP invoice, etc.).

Document Number

The R365 assigned number listed on the transaction.

Vendor Customer

The vendor or customer name that connects to the AP or AR transaction, respectively.

Line Comment

The comment from the detail line of a transaction.

Header Comment

The comment from the header of the transaction.

Net Change

The amount of the detail line. Debits are displayed as 0.00 while credits are displayed as (0.00).

Running Total

A sum of the detail lines grouped by GL account number.

End of Month

The date of the month the account is subtotaled by.

Running Total Net Change

The running total net change since the GL date.

Running Total By Period

The running total for each period.