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The Working Trial Balance report displays the working ledger balances for a given entity and accounting date, assuming dynamically calculated mutual fund allocations have been applied. You can group ledger balances by total fund, class, or sector.

To create the Working Trial Balance report:

  1. In Accounting Center, in the left navigation pane, click Reports Ledger Reports > Ledger Balance > Working Trial Balance Report. 
    You see the Working Trial Balance Report panel.
  2. Complete the options on the Working Trial Balance Report panel.
  3. Under Result Options, click Grid or Advanced Report for the report view you want.
  4. Click Submit.
    The report results appear on your desktop for the view selected.

Working Trial Balance Report Panel Options

A definition of the options on the Working Trial Balance Report panel follows.

OptionDescription
Query Working Trial Balance
Master Fund IDSpecifies a Master Fund by the entity ID of the entity.
Master FundSpecifies a Master Fund by name of the entity.
Accounting BasisSpecifies the entity accounting basis. For example, USTAX, GAAP, or IFRS.
Select ViewAllows you to filter the entity view for your report results. Options include:
  • Sector
  • Class
  • Total Fund (Default)
Select Sector Allows you to filter by sector. To use this option, you must select Sector as your view to use this option. Options include:
  • All (Default)
  • Individual
Sector IDAllows you to filter by sector ID. To use this option, you must select Individual as your sector selection.
SectorAllows you to filter by sector name. To use this option, you must select Individual as your sector selection.
Select Share ClassAllows you to filter by share class. To use this option, you must select Class as your view. Options include:
  • All (Default)
  • Individual
Share ClassAllows you to filter by share class. To use this option, you must select Individual as your share class selection.
Detailed Class ViewIndicates whether to include additional share class details. The default is No.
Report TypeSpecifies the type of date for controlling your report results.  Options include:
  • Accounting Date (Default)
  • Month End Date
Report Start DateSpecifies the start date for your report results. To use this option, you must select Accounting Date as your report type.
Report End DateSpecifies the end date for your report results. To use this option, you must select Accounting Date as your report type.
Month End DateSpecifies the month end ending date for your report results. To use this option, you must select Month End Date as your report type.
Month End Report Start DateSpecifies the month end start date for your report results. To use this option, you must select Month End Date as your report type.
General Ledger CurrencySpecifies the currency for the general ledger results.
Show MEMO AccountsAllows you to show/hide Memo accounts in your report results.
Selection Criteria and Ledger Details
Report FiltersAllows you to show/hide additional security filters. The default is No.
Show Asset Level DetailsAllows you to include asset level details in your report results. The default is No.
Filter Security ByAllows you to show/hide additional report filters.  Options include:
  • Security Cross Reference (Default). If you select this option the panel unhides the Xref Type and Xref Security ID fields for data entry.
  • Issue Name. If you select this option, the panel unhides the Issue Name field for data entry.
  • Primary Asset ID. If you select this option, the panel unhides the Primary Asset ID field for data entry.
Include/Exclude Closeout Entries Allows you to include/exclude closeout entries in your report results. Default is Exclude.
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