Remittance Reports
        You can choose a summary or detailed remittance report.
        Summary
        The summary report lists:
        
            - Type of remittance (the 
 payroll deduction expense or employer contribution amount that is payable)
 
            - The amount accrued for the reporting period
 
            - Amount changes made in the Payment Adjustment column in the Payments journal
 
            - Payments
 
            - The balance owing as of the end of the reporting period
 
            - The number 
 of employees whose paycheques were subject to the payroll 
 deduction or expense for the reporting period
 
        
        Note: The gross payroll amount for the selected remittance period is noted under the amounts payable to the Receiver General the government tax authority to whom you remit federal income tax (Tax). Record this amount in the gross payroll field of the government-supplied PD7A remittance form.
        Detail
        The detail report includes: 
        
            - An opening balance for each 
 liability as of the report start date
 
            - Remittance details grouped by cheque 
 date, with a subtotal for each date and a count of the employees whose 
 paycheques were subject to the deduction or expense payable
 
            - Payments and payment 
 adjustments sorted by cheque date and number. These payment adjustments correspond to the amount changes made in the Payment Adjustment column in the Payments journal.
 
            - A closing balance as of the report end date
 
            - The number 
 of employees whose paycheques were subject to the payroll 
 deduction or expense for the reporting period
 
        
        To view this report, open the Report Centre in the Home window, select 
 Employees & Payroll, and then the remittances 
 report by name. Click Display.
        What do you want to do?
        Modify a Remittances 
 report