Accounts Receivable Payments and Credits

The Accounts Receivable Payments and Credits report shows posted and/or unposted payments and credits for the date range entered. You can select to include payments only, credits only, or a combination of both. You can also select to include posted and unposted transactions, only posted, or only unposted transactions.

Permissions Required for this Report

In the staff profile, staff must be assigned to a security group that is granted View functional rights for the following:

  • Security group profile > Functional rights > Reports > Shared Library > Shared Views
  • Security group profile > Functional rights > Reports > Firm Library > Custom
  • Security group profile > Functional rights > Reports > Firm Library > Standard > Firm
  • Security group profile > Functional rights > Reports > Firm Library > Standard > Practice
  • Security group profile > Functional rights > Reports > Firm Library > <report name>
  • Security group profile > Functional rights > Administration Manager > Client Manager > Approved Clients

Reports in Foundation that are Comparable

In Practice Management, the comparable report is AR Cash Receipts. In Practice Advantage, the comparable report is Payments and Adjustments.

Report Specifications

The following report options and filters are available to determine the report contents.

Options and Settings
Option Setting Description
Include Deleted Clients Yes/No Includes or excludes deleted client information.
Default Filters
Field Name Operator Value

Deposit/Trans Date

Between

First Day of Current Fiscal Year, Last Day of Current Fiscal Year

Type

=

All

Status

=

Posted

Optional Filters
Available Fields

Accounting Period Date

Estimate Percentage Complete Per Budget

Project Name

Bank Account

Financial Reporting Client Group

Project Office

Business Code

Invoice #

Project On Hold as of Date

Check Date

Line of Business

Project Original Planned Finish

Check/Ref #

Manager

Project Original Due Date

Client

Project

Posted Date

Client – Principal

Project Actual Finish

Primary Partner

Client Bill Manager

Project Actual Hours

Project Planned Finish

Client Billing Group

Project Actual Start

Project Planned Start

Client Business Unit

Project Bill Manager

Project Priorities

Client ID

Project Budget Hours

Project Prospective

Client ID.Sub ID

Project Business Unit

Project Region

Client Name

Project Complexity

Project Status

Client Office

Project Delivery Method

Project Team

Client Primary Service Type

Project Extension 1 Date

Project Template

Client Region

Project Extension 2 Date

Project Type

Client Sub ID

Project Fileholder

Return Group

Client Type

Project Frequency

Status

Deposit/Trans Date

Project ID

Tax Type

Est. Percentage Complete Per Est. Hours

Project Missed Dates

Type

Note: The Manager and Primary Partner field names are the default values defined for client responsible staff. The first ten client responsible staff List values that are defined by your firm are available field options.

Grouping    
Available Fields

Bank Account

Client Region

Project Name

Business Code

Client Sub ID

Project Office

Client

Client Type

Project Region

Client - Principal

Financial Reporting Client Group

Project Status

Client Bill Manager

Line of Business

Project Team

Client Billing Group

Manager

Project Template

Client Business Unit

Primary Partner

Project Type

Client ID

Project

Return Group

Client ID.Sub ID

Project Business Unit

Sort Name

Client Name

Project Fileholder

Tax Type

Client Office

Project Frequency

 

Client Primary Service Type Project ID  

Note: The Manager and Primary Partner field names are the default values defined for client responsible staff. The first ten client responsible staff List values that are defined by your firm are available field options.

Sorting    
Available Fields

Amount

Check/Ref #

Deposit/Trans Date

Bank Account

Client ID.Sub ID

Invoice #

Check Date

Client Name

Type

Report Fields

The following fields are available for this report. The fields that display and the position of fields are based on the report's settings, grouping, sorting, and filters.

Report Fields
Field Description

Client ID

The client ID and sub-ID (Client ID.Sub-ID).

Client Name

The client name.

Type

The type of transaction. The values can be Payment, Credit memo, Credit adjustment, GST Write-off, or Write-off.

Check/Ref #

The check/reference number associated with the transaction.

Deposit Date

The date of the transaction.

Check Date

The date that is specified.

Invoice #

The invoice number that the transaction is distributed to.

Unposted

The unposted transaction indicator. If the transaction is unposted, an X displays in this column.

Amount

The amount of the transaction.

Description

The description that is associated with the transaction.