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Pathway: Accounting > GL Transaction Processing

Part of 67 Release

The GL (General Ledger) Batch Processing tool is used to store and summarize all of a company’s transactions. This tool walks through the steps of moving pending transactions to posted using a batch process.

Create a GL Batch

From the Pending tab:

  1. Select the AR Period. Only transactions from the selected period will display.

  2. Select Type to filter and display a specific type of transaction on the screen.

  3. Select all the transactions you would like to include in the batch.

    • To select all transactions, check the empty box in the upper left-hand corner of the header. Otherwise, check the box to the left of each transaction that the batch should include.

  4. Select Create GL Batch and a Confirmation window will display.

    • Enter a note to display along with the batch.

  5. Selected Create Batch. Upon selection, the batch will be placed in the In Progress tab.

Review In Progress Batches

Use the In Progress tab to review GL batches before they are posted. Double click within the row of the batch to drill down and view the GL Accounts it includes. From here, the option to export to Excel is available and located to the left of the Search box.

If needed, reverse a batch from In Progress back to Pending by right clicking within the row of the batch and selecting Reverse Batch.

Post Batch

To post a GL batch after it has been reviewed, the following steps apply.

From the In Progress tab:

  1. Hover over the batch you wish to post and right-click. A pop-up window will display.

  2. Select the Post Batch option from the pop-up menu and a Confirmation window displays.

  3. Select Yes to confirm. The batch is now posted.

Export a GL Batch

To Export:

  1. Select the Posted tab.

  2. Hover over the batch being exported and right-click. A pop-up window displays.

  3. Select Export Batch.

Summary

The Summary tab summarizes the transactions for each general ledger account by period.

View Account Details

To review the details of an account, select the underlined credit or debit value from the column in review and the details will display.

Sorting

Column sorting can be done by selecting the arrow icon to the right of the column’s name in the header row.

To hide a column from view, select Columns. Remove the check mark selection from the check box of the column to hide. Upon clicking away the unchecked column is now hidden.

To display a column that has been hidden, select the sort icon from any of the visible column headers. Select Columns. Check all columns you would like displayed.

Search, Export and Reload

Field

Description

Search

Search by account or value. Search only returns exact matches.

Export

Select the Excel icon to export the Summary into an Excel spreadsheet.

Reload

Select the rotating arrows icon to reload the page.

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