Report Summarized Account Adjustments
Access
This report shows all debit and credit manual adjustments
that have been completed in open item receivables. Transactions such as
refunds, returned check fees, manual invoices and manual customer returns
are displayed. The report can be run for today, yesterday, as of a specific
date, for the current period-to-date, last period-to-date, or last period
total. It sorts by store location and by date, if run for multiple locations
and with a date range. Once the run-time options have been selected, choose
Run to produce the report.
The output of this report may be affected by Regional
Processing restrictions. That is, you can inquire only about customers
and locations to which you have access.
Date
CodeClick on the Arrow button to view a list of date codes, then
select the code that best indicates the time period on which to base your
report.
As Of DateIf you
select CUS (custom) at Date Code field, you activate this field. Use
this field to specify the as-of date for which you want to run this report.
If you click on the Calendar
Icon, you can select a date from the calendar that appears.
If you select another date
code instead of CUS, this field fills in based on that selection and
you cannot edit this field.
Send Output toThe output
destination of the report displays. To change the output destination,
click on the Actions button and select Output
Settings.
Export PathIf you
select either the Personal
Report Viewer ( PRV), Excel Export,
or ASCII Export, this field displays the pre-set computer drive and folder
location to which the system exports the report data. You cannot edit
the export path using this process.

