Difference between revisions of "Reports"

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(Accrual)
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Create a report containing all documents which are still in the flow for a certain period.
 
Create a report containing all documents which are still in the flow for a certain period.
 
<br/>{{note|Often used when closing a period and wanting to know which documents still need to be processed.}}<br/>
 
<br/>{{note|Often used when closing a period and wanting to know which documents still need to be processed.}}<br/>
 +
{{info|The creation of this report requires an enddate of the period you wish to see}}<br/>
  
 
==Billing==
 
==Billing==

Revision as of 16:36, 21 October 2016

Next to the "Archive" menu button, the "Reports" button is available. Here you have the possibility to generate reports of certain data in 1Archive.
There are a few different report types available.

1 Accrual

Create a report containing all documents which are still in the flow for a certain period.


Note.png Often used when closing a period and wanting to know which documents still need to be processed.

Info.png The creation of this report requires an enddate of the period you wish to see

2 Billing

Create a report containing all documents available in 1Archive in a certain period.

3 Detailed customer-Account check

Create a report to check the default account configured per customer.

4 Detailed customer-VATID check

Create a report to check the VAT ID configured per customer.

5 Detailed supplier-Account check

Create a report to check the default account configured per supplier.

6 Detailed supplier-Bankaccount check

Create a report to check the bankaccount configured per supplier.

7 Detailed supplier-VATIDcheck

Create a report to check the VAT ID configured per supplier.

8 Top 10 Customers

Create a report containing the top 10 customers used for the selected company.

9 Top 10 Suppliers

Create a report containing the top 10 suppliers used for the selected company.







Location: Reports

All users can create a report which results real-time information from KIS. Following reports are implemented:

  • Billing overview
    • This report shows all number of documents for each instance/company on KIS
  • Detailed supplier-VATID check
    • This report shows detailed information on KIS of all suppliers:
      • with no VATID defined
      • VATID is not unique or
      • VATID is equal to VATID of the company
  • Summary supplier-VATID check
    • This reports shows a summary of the detailed supplier-VATID check
  • Detailed customer-VATID check
    • This report shows detailed information on KIS of all customers:
      • with no VATID defined
      • VATID is not unique or
      • VATID is equal to VATID of the company
  • Summary customer-VATID check
    • This reports shows a summary of the detailed customer-VATID check
  • Detailed supplier-Bankaccount check
    • This report shows detailed information on KIS of all suppliers:
      • with no bank account defined
  • Summary supplier-Bankaccount check
    • This reports shows a summary of the detailed supplier-Bankaccount check

10 Creation of a report

Location: Reports

  • Select your report by clicking Magnifier.png
  • Select ‘Actions – Add report result’ from the upper right menu
  • Save
  • Click PageXls.png to open the report in Excell