Difference between revisions of "What does nominal review show me?"
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* At {{DataPrompt|Centre to}} enter the last centre to look at or press {{KeyPress|C-F1}} to search for a centre. | * At {{DataPrompt|Centre to}} enter the last centre to look at or press {{KeyPress|C-F1}} to search for a centre. | ||
* You may leave these fields blank to look at all Nominal Centres. | * You may leave these fields blank to look at all Nominal Centres. | ||
+ | * If you wish to narrow down the range of centres at {{DataPrompt|Centre type}} select the type of centres to include in your search e.g. {{DataValue|P&L}}. This will then default to {DataValue|All}} or use the dropdown to select a specific type of centre e.g. {{DataValue|Overhead}}. | ||
* To look at a specific Journal or range of Journals, enter the numbers in {{DataPrompt|Journal from}} and {{DataPrompt|to}}. | * To look at a specific Journal or range of Journals, enter the numbers in {{DataPrompt|Journal from}} and {{DataPrompt|to}}. | ||
* At {{DataPrompt|Date from}} and {{DataPrompt|to}}, enter the date range to use. The figures displayed will show an {{Tab|Opening Balance}} up to the {{DataPrompt|Date from}} to allow you to see a {{Tab|Cumulative Balance}}. | * At {{DataPrompt|Date from}} and {{DataPrompt|to}}, enter the date range to use. The figures displayed will show an {{Tab|Opening Balance}} up to the {{DataPrompt|Date from}} to allow you to see a {{Tab|Cumulative Balance}}. |
Revision as of 09:53, 20 January 2022
Contents
Summary
The Nominal Review is a very useful option to allow you to view, add or edit Nominal Transactions.
More Information
From here you can:
- View Manual and Automatic Journals.
- View Current and Historic data.
- Preview items waiting to be updated from the Sales Ledger and Purchase Ledger .
- Print lists of transactions, balances and individual journals.
- Edit certain types of journal.
The instructions below explain how to use each of the fields displayed when you enter Nominal Review. You do not have to fill them all in. |
Go to " Nominal Ledger Nominal Review".
- At "Centre from" enter the first centre to look at or press <Ctrl+F1> to search for a centre.
- At "Centre to" enter the last centre to look at or press <Ctrl+F1> to search for a centre.
- You may leave these fields blank to look at all Nominal Centres.
- If you wish to narrow down the range of centres at "Centre type" select the type of centres to include in your search e.g. 'P&L'. This will then default to {DataValue|All}} or use the dropdown to select a specific type of centre e.g. 'Overhead'.
- To look at a specific Journal or range of Journals, enter the numbers in "Journal from" and "to".
- At "Date from" and "to", enter the date range to use. The figures displayed will show an [Opening Balance] up to the "Date from" to allow you to see a [Cumulative Balance].
- "Filter on" is used to track down a transaction e.g. to search for journals relating to a specific unit, you could enter the unit Stock Number here. This is an in depth search so may take a while to return results.
- "Profit and loss cleardown?" should usually be set to 'No'.
When the Profit & Loss Audit Trail and Cleardown is run at a Year end, an internal posting is made to return the P&L Centre balance to zero. To get a running total for a Profit & Loss Centre you should ignore these postings. |
- "Include historic?" should be set to 'Yes'. This ensures you will see the correct balances for all centres.
- "Include current?" should be set to 'Yes'.
- Sales Ledger and Purchase Ledger transactions which have not yet been updated to the Nominal Ledger will not be visible in Nominal Review unless "Include preview?" is set to 'Yes'.
- Click [Search] or press <F2> to view the results.
Viewing Transactions for a range of Centres
Centres will be listed on screen and will show :
- An [Opening Balance] up to the "Date from".
- A [Period Total] for the Date range entered.
- The [Nominal Balance] shows the value posted directly to/updated to the Nominal Ledger for the period.
- Any Sales Ledger and Purchase Ledger transactions which have not yet been updated to the Nominal Ledger are shown in the next two columns, i.e. Invoices, Credits and Payments to/from Customers and Suppliers.
- The [Preview Bal.] adds/deducts the balances in the Sales Ledger and Purchase Ledger columns to the Nominal Ledger balance.
- Select a Centre and click [Choose] to view the transactions that make up the balances shown.
Viewing Transactions for a specific Centre
The first line will show the "Opening Balance" up to the "Date from".
- The colour of each transaction indicates whether it is:
- 'Historic'
- A transaction which has been fully processed.
- 'Fixed'
- A transaction which cannot be edited where it is an automatic posting by the system, it has been fully processed or it has been reconciled.
- 'Editable'
- A journal which can be edited.
- 'Preview'
- A transaction which is in the Sales Ledger or Purchase Ledger waiting to be updated to the Nominal Ledger as part of the month end procedure.
Move across a line to view information about the transaction. Depending on the modules you are using you may see a 'Unit Stock Number', 'Workshop Job Number', 'Stock Code', 'Order Number' and other relevant information.
- Depending on the transaction type, you may be able to click [Document], [View] or [Re-Print].
- Click [View] to see the Journal Entry for a posting. This shows you the double entry behind a transaction.
Printing Transactions
Click on the [Print] icon or press <Ctrl+P> to output the results of your search.
- Click [Print] to print the report.
- Click [Excel] to create an XML workbook. The file will default to being saved into your 'SX\SXICONS\OUTPUT' folder but you may select a different folder and filename if you wish.
- Click [CSV] to create a CSV file. The file will default to being saved into your 'SX\SXICONS\OUTPUT' folder but you may select a different folder and filename if you wish.
See also
- How to process a month end
- How do I process a year end?
- Posting cashbook entries
- Posting journals
- The banking journal
- How do I extract nominal transactions to a csv file?