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Nominal Ledger

The Nominal Ledger report is a list of the Transaction rows entered during the report period (i.e. it is a list of the amounts posted to each Account in that period).

This report offers exceptionally powerful multi-level Object analysis. You can search for Transaction rows with several different Objects, and you can control subtotalling. For example, if you have Object Types of DEPT (Departments) and PERS (Persons), you can create a report with the Transaction rows sorted by Account and department and with subtotals per person within each department. These features are illustrated in detail on the Examples page.

When printed to screen, the Nominal Ledger report has Hansa's Drill-down feature. Click on any Transaction Number to open an individual Transaction record.

Double-clicking 'Nominal Ledger' in the 'Reports' list opens the following window:

Header
Period
Paste Special    Reporting Periods setting, System module
Specify a report period, in the format "01-02-02:28-02-02". If you are using four-digit years as in the illustration, the leading digits will be inserted automatically. If your report period is a single day, just enter the date once and this will be converted to a period format automatically. The first row of the Reporting Periods setting is the default value.

Loop 1, Loop 2, Loop 3
(Loop 2 and Loop 3 are on card 2.)

You can enter a range of Accounts, a range of Objects or an Object Type to each of these fields. The following examples illustrate how these fields can be used:

EgEntryReport contains
1Loop 1: 100:199 (Accounts) Transaction rows posting to Accounts in the range 100:199, sorted by Account
2Loop 1: SALES (Object) Transaction rows with the SALES Object, sorted by Object
3Loop 1: DEPT (Object Type) Transaction rows with Objects belonging to the DEPT Object Type, sorted by Object
4Loop 1: 100:199 (Accounts) Loop 2: DEPT (Object Type) Transaction rows with Objects belonging to the DEPT Object Type and posting to Accounts in the range 100:199, sorted by Account then Object
5Loop 1: DEPT (Object Type) Loop 2: 100:199 (Accounts) As 4 but sorted by Object then Account
6Loop 1: 100:199 (Accounts) Loop 2: DEPT (Object Type) Loop 3: PERS (Object Type) Transaction rows with Objects belonging to the DEPT Object Type and to the PERS Object Type and posting to Accounts in the range 100:199, sorted by Account, by DEPT Objects and finally by PERS Objects

You must make an entry in the Loop 1 field before using Loops 2 and 3, or the report will be blank.

Please refer to the Examples page for more information about how to use these fields.

Accounts
Next to each Loop field there is an Accounts radio button. This should be selected if you wish to enter an Account or range of Accounts in the corresponding Loop field, for two reasons:
  1. If the Accounts radio button is selected, Hansa will assume that what has been entered in the Loop field is an Account or range of Accounts and search for matching Transaction rows accordingly. If the Accounts radio button is not selected, Hansa will assume that the Loop field contains an Object, a range of Objects or an Object Type.

  2. If the Accounts radio button is selected, you can use 'Paste Special' from the Loop field to open a list of Accounts from which the appropriate one can be selected. If the Accounts radio button is not selected, 'Paste Special' will open a list of Objects.
Card 1
Object
Paste Special    Object register, Nominal Ledger/System module
Enter an Object Code in this field if you want the report to list Transaction rows with a certain Object. If the field is empty, all Transaction rows, with and without Objects, are included. If you enter a number of Objects separated by commas, only those Transaction rows featuring all the Objects listed will be shown.

Object Type
Paste Special    Object Types setting, Nominal Ledger
Enter an Object Type Code in this field if you want the report to list Transaction rows with Objects belonging to a certain Object Type.

Including Unspecified
Check this box if you want to show Transaction rows with Objects belonging to the Object Type specified above, and all other Transaction rows as well. You should also switch on the Show Object check box (below), so that those Transaction rows with Objects belonging to the chosen Object Type can be distinguished from the others.

Only with Text
Enter a search string in this field to list Transaction rows with certain Descriptions. Thus, assuming that the default entries to the Description field have been used, you can enter an Account Name here to report on all postings to that Account. Note that you do not have to enter the complete text string: "Sales" finds "Sales Type 1", "Sales Type 2", etc.

VAT Code
Paste Special    VAT Codes setting, Nominal Ledger
Enter a VAT Code here to list Transaction rows with a particular VAT Code.

Language
Paste Special    Languages setting, System module
The Nominal Ledger report can be produced in different Languages: enter the required Language Code here. The appropriate translation for each Account Name will be taken from the 'Texts' card of the Account record.

Currency
Paste Special    Currency register, System module
If a Currency is entered here, the report will only list those Transaction rows with that Currency shown on flip C. The amounts shown in the report will be taken from flip C of those Transaction rows: i.e. they will be in the chosen Currency. If the field is blank, all Transaction rows will be included in the report with their amounts taken from the Base 1 or Base 2 Debit or Credit fields on flip B (choose which Base Currency is to be used using the Values In options described below).

Recon. Code, Exclude with Code
If you want to list reconciled Transactions with a particular Recon. Code (entered on flip D of the Account Reconciliation screen), enter that Recon. Code here. To list all reconciled Transactions except those with a particular Recon. Code, check the Exclude With Code box as well.

The Reconciled box (below) must be checked if you want to use this field and check box.

Used Accounts only
Check this box to exclude Accounts that were not used during the report period. Accounts not used but with a balance brought forward will be shown.

Show References
By default, the report shows the Text of each Transaction. Use this option if you would like the Reference and the Text to be shown.

With Corrections
Check this box if you want all corrections in the Transactions to be shown.

Subtotal VAT Codes
Check this box if you want the total debit and credit amounts for each VAT Code to be shown at the bottom of the report.

List Transaction Nos
With this box checked, the Transaction Numbers of all Transactions that fall within the reporting period, together with debit and credit totals, will be listed at the bottom of the report.

Don't Print Transaction Prefix
Transaction Numbers are usually shown in the report together with their prefixes as shown in the 'Transactions: Browse' window. Transactions entered directly to the Nominal Ledger, for example, are shown as "2002.3" while those created from a Sub System are shown as, for example, "S/INV.020003". If you do not want these prefixes to be shown in the report, check this box.

Show Base Currency 2 Differences only
If this option is checked, the report will consist of a list of those Transaction rows where the value in Base Currency 2 is not correct, according to the Exchange and Base Rate for the Transaction Date. This may be because an ad hoc Exchange or Base Rate was used for the Transaction row in question, or because an Exchange or Base Rate record was changed some time after it was entered. This latter action is not recommended.

This option cannot be used if you want to calculate values in Base Currency 2 by applying current Exchange and Base Rates to old Transactions rows. To do this, use the Base Currency Rate Change report.

Balances only
Use this option if you only need to show a balance for each Account, instead of having every Transaction row listed.

Corresponding Accounts
Check this box if you want the Corresponding Accounts of each Transaction row printed in the report. The Object column will be replaced with one showing the Corresponding Accounts.

Show Object
Check this box to print the Objects used in each Transaction row.

Show Currencies
In the case of Transaction rows in a foreign Currency (i.e. not Base Currency 1 or 2), check this box if you want to show amounts in Currency as well as in the home Currency.

Not Reconciled
Check this box to include in the report Transaction rows that have not been reconciled using the Account Reconciliation register.

Reconciled
Check this box to include in the report Transaction rows that have been reconciled using the Account Reconciliation register.

Long Lines
Three options are available for dealing with long descriptions when printing on paper. The Don't Break option is always used when printing to screen. If you preview the report to screen, choose 'Recalculate and Print' from the Operations menu to invoke the Long Lines option (i.e. do not click the Printer icon).

If a landscape Page Setup is used and/or the page magnification is reduced, the space available for long descriptions (i.e. the width of the description column) is increased.
Don't Break
The full length of the description is printed on one line. If it interferes with figures in the next column, these are moved to the next line.

Break
The full length of the description is printed, spread over several lines if necessary.

Cut
The final characters of the description are not printed, so that it fits onto one line in the allocated column.
Card 2

Include Simulations
Choose one of these options if you want to include simulated transactions in the report. If you choose the All option, Simulation rows of "Invalid" or "Transferred" Status will not be included.

Values in
If you are using the Dual-Base system, values in this report can be shown in either Base Currency. Use these options to choose which Currency is to be used on this occasion.

If you are not using the Dual-Base system, use the Base Currency 1 option to produce a report in your home Currency.

If a foreign Currency is entered in the Currency field above, the amounts in the report will be in that Currency.
Click [Run] to print the Nominal Ledger report as you have specified it.