This report issues a comparison of balance types of entities Cost Center and Account. Values displayed refer to transactions of the period requested. This report is used to follow variation of balance types of Cost Centers and Accounts of a company/branch.
Report details:
Example: Actual x Budgeted.
Cost Center: 1001 - C.Center 1001 | |
3 | Account 3 |
3.1 | Account 3.1 |
3.1.1 | Account 3.1.1 |
3.1.1.01 | Account 3.1.1.01 |
3.1.1.02 | Account 3.1.1.02 |
3.1.1.03 | Account 3.1.1.03 |
3.1.1.04 | Account 3.1.1.04 |
Procedures
Issuing the report Comparison of balance variation Cost Center x Account:
1. In the report issue window, click Parameters.
A screen is displayed with report parameters to be configured.
2. Configure them according to field help instructions.
3. Check configurations and confirm the report print.
See Also