Preparing Closing Statements
There are a number of standard reports that you can use to gather the information that you need to prepare your company's closing statements.
The following table describes a number of reports that may be useful in this process, with links to the topics that describe them.
To | See this report |
---|---|
Print a trial balance report with balances and net changes for general ledger accounts. | Trial Balance |
Get an overview of accounts receivable, with the age of amounts receivable calculated from the due date, posting date, or document date. | Aged Accounts Receivable |
Get an overview of accounts payable, with the age of amounts payable calculated from the due date, posting date or document date. | Aged Accounts Payable |
Compare the trial balance with a budget. | Trial Balance/Budget |
Print a trial balance report with balances and net changes for general ledger accounts calculated for a series of periods. | Trial Balance by Period |
Print an account schedule to analyse figures in general ledger accounts or compare actual general ledger entries with general ledger budget entries. | Account Schedule |
Check whether customer and vendor ledger entries balance with corresponding general ledger entries. | Reconcile Cust. and Vend. Accs |
To see a report, choose the icon, type the name as it appears in the table, and then choose the related link.
See Also
Closing Years and Periods
Working with Dynamics NAV
Business Intelligence