Tax Basis Balance Sheet

Reporting Levels:

Unit

 

Sub-consolidation

Consolidation

Control Center Configurable Options:

Dataset

Unit

 

Sub-consolidation

Currency

Source Data:

Trial Balance/Tax Basis

Available Views:

default / Roll Ups

detail / summary

expand / contract

 

The Tax Basis Balance Sheet report for Provision datasets displays Balance Sheet accounts in the trial balance. The trial balance ending book basis and related adjustments are populated in the Trial Balance/Tax Basis screen.

 

Report Views

Defaults to the Summary view of trial balance lines.
Select the Detail view to display trial balance lines with sub-line detail.
Select the Contract view to display total amounts per activity.
Select the Expand view to display temporary difference activity.
Rollups are user-defined groupings that allow trial balance sub-line data to be consolidated and rolled up to a higher level. Creating and managing rollups for the report occurs in the Administration area.

 

Line by Line

Balance Sheet: Displays trial balance lines designated as asset, liability, or equity in Manage Trial Balance mappings.

 

Column by Column

Book Balance: Data Input > Federal > Trial Balance/Tax Basis in a Provision dataset.
Book Adjustments: Data Input > Federal > Trial Balance/Tax Basis in a Provision dataset.
Tax Reclass: Data Input > Federal > Trial Balance/Tax Basis in a Provision dataset.
Adjusted Reclassified Book: Data Input> Federal > Trial Balance/Tax Basis in a Provision dataset.
Book Tax Differences: Data Input > Federal > Trial Balance/Tax Basis in a Provision dataset.
Other Adjustments: Data Input > Federal > Trial Balance/Tax Basis in a Provision dataset.