Modify the Account Reconciliation Transactions Report
        
        
            - In the Home window, 
 open the Report Centre. Select Banking 
 and then Account Reconciliation Transactions. 
 Click Modify this report.
 
            - (Optional) Select 
 the Template 
 you want to use for the report.
 
            - Select the Fiscal Year you want to report on. If you select Previous Year, you can also select the Only entries posted after year end box to limit the report to previous year transactions that were recorded after the previous fiscal year end. Selecting this option automatically displays Corrections in the report.
 
            - Select how transaction 
 details should be sorted, by Date or by Transaction Number.
 
            - Enter the Start and Finish dates 
 or transaction numbers.
 
            - (Optional) In the 
 Show section, select:
		
- Foreign 
 Amounts to add a column showing foreign currency transactions
 - Additional 
 Information to include the additional information stored with each 
 transaction
 
 
            - (Optional) Customize 
 the:
		
 
            Note: If you display this report from the Report menu in the Reconciliation & Deposits window, only the Printer and Font options will be available.
            - (Optional) Save the report as a template in My 
 Reports.
 
            - Click OK 
 to display the report.
 
        
        What do you want to do?
        Change the presentation of this report in the report viewer
        
        Print this report
        
        View detailed information 
 about a specific part of this report
        
        Open this report 
 in Microsoft Excel
        
        Export this report 
 to another format
        
        Change 
 your default printer settings for reports
        
        Refresh this report