Use the Period Disbursement Distribution program to print a list of all General Ledger disbursement distribution from Check Registers for the period.
Records on this register are created during the update portion of the Check Register if the Use period disbursement report flag in the AP Static Control F/M is activated.
You should print this report as part of the end-of-period procedures. To prevent file overflow, the records should be removed once a month after the register is run.
Report information includes the following:
Access this program by clicking Accounts Payable>End of Period>Period Disbursement Distribution.
Click Field Descriptions for information on each field.
1. Period
The period to print (PPYY).
2. Beginning G/L #
The beginning general ledger number to print. Press F2 to search.
3. Ending G/L #
The ending general ledger number to print.
4. Branch
The branch to print.
5. Department
The GL department to print. The entry must be a valid GL department.
6. Scope
Indicate whether to print Summary or Detail information. The program defaults to Summary.
7. Check report. OK to remove records just printed?
Click OK to remove the records and update the system. Click Cancel to skip the update.
Viewing reports on screen (using the viewer)