Object Balances
This export is similar to the 
'Trial Balance' export, but each Account balance is broken down to show subtotals for each Object.

- Period
 
- Paste SpecialReporting Periods setting, System module
 
- Enter the start and end dates for the period to be covered by the export, separated by a colon.
 
- Accounts
 
- Paste SpecialAccount register, Nominal Ledger/System module
 
- Range Reporting   	Alpha
 
- Use this field to restrict the export to a particular Account or range of Accounts.
 
- Object
 
- Paste SpecialObject register, Nominal Ledger/System module
 
- Range Reporting   	Alpha
 
- Enter a value in this field if you want to the export to contain Account balances for a certain Object. If the field is empty, the balances of all Account/Object combinations are exported. If you just need to export an overall balance for each Account, irrespective of Object, use the 'Trial Balance' export.
 
- Incl. Simulations
 
- Click this check box if you want the export to include simulated transactions. Simulation rows of "Invalid" and "Transferred" Status will not be included.
 
- Detailed
 
- The standard version of the text file produced by this export function is a list of balances for each Account/Object combination, sorted by Account. These are the opening balance, the period balance and the closing balance. Check this box if you want the export file to include a separate period debit balance and credit balance for each Account/Object.
 
- 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 use your home Currency.