Trial Balance - Income Statement

Reporting Levels:

Unit

 

Sub-consolidation

Consolidation

Control Centre Configurable Options:

Dataset

Unit

 

Sub-consolidation

Currency

Source Data:

Trial Balance/Tax Basis

Available Views:

default / Roll Ups

detail / summary

expand / contract

 

The Trial Balance - Income Statement report for Interim datasets displays Income Statement 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 a Summary view of trial balance lines.
Select the Detail view to display trial balance lines with sub-line detail.
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

Income Statement: Displays trial balance lines designated as income statement in Manage Trial Balance mappings

 

Column by Column

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