Bank register report

Use the Bank register report to perform the following activities:

  • View all bank transactions for an account or all available accounts.

  • View the reconciliation status of a transaction (in Detail mode).

    Transactions that are In Transit have not been reconciled. Transactions that are Cleared have been included in a reconciliation.

  • Debit and credit totals (in Summary mode).

  • Void payments.

    Void payments in the entity in which they were created.

  • Reverse other types of transactions (such as payments made by record transfer or deposits).

To drill down and view checks, use the Check register report report instead.

View a monthly report

  1. Go to Cash Management > All > Reports > Registers > Bank.

  2. On the report settings page, select View.

    The report includes all results for the default reporting period.

  3. To refine the report, select Customize.

Customize and run

Before running the report, you can select the time period and types of items to include and specify how you want the report to appear.

Use trial-and-error to get the precise results you want.

Fill in the desired boxes, and select View to see the report. If after viewing the results you want to refine the report further, select Customize to return to the report setup page.  Repeat this process until you're satisfied. For complex financial reports you plan to run regularly, select a reporting period and memorize the report when you're done setting it up. Just change the As of date before running the report next time.

Time period

You can use one of the pre-defined reporting periods available from the Reporting period and As of date boxes. Or, create your own reporting period using the Start date and End date boxes.

Report filters

You can set up any combination of filters to isolate and assemble the data you want in your report.

Formatting

Use this section to change the page layout and specify the sort order for this report.

Titles and footer

Titles, subtitles, and footers apply only to the .pdf version of this report. (Select Print to get the .pdf version).

What's in this report?

The Bank register report in details mode (Show details is checked) consists of the following columns:

Report column heading Description

Account

The ID or the name of the bank account.

Transaction date

The date of the bank transaction.

Description

A description for the bank transaction.

Transaction number

The check number for a customer's payment (for example, the Check no. entered on the Select invoices for Payment page when you received a customer's payment).

Or, the check number for your payment to a vendor (for example, the Check no. on the Print checks page).

Ref number

The reference number entered on the transaction.

Cleared

The date on which the transaction cleared in the account reconciliation process. Transit indicates transactions that have not yet been cleared.

Currency

For multi-currency companies, the currency for the transaction.

Txn debit, Debit

The amount received for the transaction. (Txn debit appears only for multi-currency companies and is the same as Debit.)

Txn credit, Credit

The amount paid for the transaction. (Txn credit appears only for multi-currency companies and is the same as Credit.)

Balance

The running total of the bank account balance.

Void

Void the selected transaction. Void the transaction in the entity in which it was created.

Void is available only if you have permissions for voiding that type of transaction.

Required permissions: To be able to void AP payments, you need permissions in Accounts Payable to void posted payments and optionally, posted advances. If you use Expenses, there are separate permissions in Expenses to void posted reimbursements and posted advances.

Reverse

Reverse the selected transaction.

Reverse is available only if you have permissions for reversing the transaction.

Required permissions: Permissions for reversing transactions can be found in Accounts Payable, Accounts Receivable, Cash Management, and Expenses. Learn more about reversing a transaction.

Owner/entity

This column appears only at the top level for multi-entity companies. Shows the entity in which the transaction was created.

The Bank register report in summary mode (Show details is unchecked) consists of the following columns.

Report column heading Description

Bank name

The name of the bank account.

Currency

For multi-currency companies, the currency for the transaction.

Beginning balance

The beginning balance of the account for the period specified in the Time period section.

Debit

The total debits for the account.

Credit

The total credits for the account.

Balance

The balance of the account at the end of the period specified in the Time period section.