When running a g/l detail report, if you choose to have both project and a transaction code print as a column on the report, it is not in a column at all, it is below the transaction. This is not at all useful when exporting to excel need to have as many columns on my excel reports as possible, not formatted to a piece of paper
Account: |
11-5602-70 (Program Supplies) |
||||
05/01/2021 |
Account Beginning Balance |
$3,933.09 |
|||
05/18/2021 |
8960-10 |
Journal Entry |
CHASE CLOSING 05.18.21 - S HAZEN |
||
Program ID |
Grant |
||||
1030 |
<No Grant> |
$98.44 |
|||
Account Subtotals |
$98.44 |
||||
05/31/2021 |
Account Net Change |
$98.44 |
|||
05/31/2021 |
Account Ending Balance |
$4,031.53 |
The colored cells should be in columns to the right, not rows
We struggle with this as well and would like to use the GL to verify accuracy of Fund and multiple transaction codes, but have to run the report for each transaction code separately to be able to view the data in a clean format.