(3) Blue Account Overview

This Report is used to generate an Account Summary Overview of "Blue Account" for a specified date range.

This Report can be helpful for Auditing or Reconciling Purposes.

The recommended file format for this report is as a PDF (.pdf) file, however, you can also generate a Word (.doc) file or an Excel (.xls) file

  • As a Word (.doc) file the statement will generate for the Reconcile Date chosen from the Drop-down
  • As an Excel (.xls) file this will place the information in cell formatting for each line item of the statement. Can be used for .csv file imports.
  • As a PDF (.pdf) file this will appear the same as the Word (.doc) file format, but will not be editable.

Report - 3

Report - 3

From the Tree View:

  1. Expand Reports
  2. Select Reports
  3. Select Report (3) Blue Account Overview
  4. Select the Blue Reconcile Date from the Drop-down List
  5. Select the File Format (either, Word DOC, Excel XLS, or PDF)
  6. Then, click SEARCH to run the Report

Note: A separate window will open where you can View, Print or Save the document.

Report - Blue Account Overview

Report - Blue Account Overview

Report Navigation:

  1. Account Summary (These values are the totals as they were per the closing of this reconcile period)
  2. Category (Cleared Checks, Cleared Deposits, Uncleared Checks, Uncleared Deposits)
  3. Ledger Line Item Date
  4. Transaction Date
  5. Check Number
  6. Description of Transaction (TNT, OWNER, VEN, etc)
  7. Line Item Transaction Amount
  8. Category Total Balance (found at the end of each Category Section)

Header & Footer Information:

a. Office Name and Contact information

b. Report Name

c. Date the Report was Run / Printed

d. Page Number of Report