AP Ledger report

The AP Ledger report provides a list of detailed supplier accounts, including what's owed to each supplier. This report shows the beginning balance for the period you have selected and each transaction for each supplier. Use this report to see if the balance in the AP ledger matches the number in the general ledger and to see which suppliers have balances greater than zero.

You can adjust the time period, supplier, supplier type, and payment group to meet your reporting needs. Normally, this report shows only suppliers with balances greater than zero. However, you can choose to include zero-balance suppliers as well. In the report, you can select the supplier name to view more details.

Who typically needs this report?

  • Accountants, controllers, anyone who needs to see who owes money to whom.
  • Accountants and controllers who need to balance the AP ledger and the control account.
  • Accountants and controllers who need to make sure the beginning AP ledger balance plus the net accounts payable activity for the current day equals the ending AP ledger balance for the day.

For information on terms that may differ in your location, see Terminology across locales.

To generate this report, go to Accounts Payable > All > Reports > AP ledger.

View a monthly report

  1. Generate the report.
  2. When the report settings page appears, select View.
    A report showing results for the default reporting period appears in your browser.
  3. Optional: Select Customize to refine the report, and follow the steps in the following section, Customize and Run.

Customize and run

Before running the report, you can select the time period and types of items to include as well as specify how you want the report to appear.

  1. Select the reporting period from the dropdown menu, or enter the start and end dates you want the report to cover. If you do not specify a reporting period, the system generates a report for the current month to date.

    You can specify either the reporting period or the start and end dates, but not both.

  2. Set the filters to get the specific data you want.

    Filters enable you to include or exclude specific types of data in the report, such as supplier and location. As a general rule, to get fewer and more precise results in your report, set more filters.

  3. Format the report.

    Format options vary from report to report. Generally, you can set the layout of the report and/or arrange how to group and display the data contained in the report.

  4. Type a title, subtitle, and footer text for your report.
  5. Do one of the following:

    How to work with reports
    To: Select:

    View the report now, in your browser.

    View

    Display the report in PDF format so you can print it or save it to your local drive.

    Print

    Generate the report and store it for later access. Available formats include HTML, printable (PDF), Excel, CSV (comma-separated value), and Text. Reports can be stored:

    • In Intacct
    • In the My stored reports list
    • Delivered to a cloud storage location, such as Dropbox

    Learn more about processing and storing reports.

    Process and store

    Add the report to your dashboard.

    Add to dashboard

    Memorize (that is, save) the report in the Memorized reports list so that later you can refer back to it or modify and re-run it.

    You can schedule memorized reports to run on a recurring basis. Intacct can automatically email the reports or deliver them to a cloud storage location.

    Memorize

    Export the report to a separate file that you can then distribute or save to your local drive.  Available file formats vary among reports.

    Export

    After you run a report, you can either email it to others or return to the Report Settings page to refine the results.

    Share and refine reports
    After running the report, to... Select

    Email the report to others.

    Email

    Return to the main report page and refine the report further.

    Customize

You can use trial-and-error to get the precise results you want. Just fill in the desired fields, and select View to see the report. If the results aren't what you want, select Customize to return to the report setup page and refine the report further. Repeat this process until you're satisfied.

For complex financial reports that will be run regularly, save the report after you're done setting it up. The next time you're ready to run the report, you only have to change the As of date before running the report.

Time period

You can use one of the numerous predefined reporting periods available from the Reporting Period and As of Date boxes, or create your own reporting period using the Start Date and End Date boxes.

Report filters

You can filter the list by supplier name or type. You can also choose to suppress or display accounts with zero balances, and exclude unpaid credit card transactions.

To set filters to refine your report results:

  1. To set the report to show results for a specific supplier type, select the Supplier type dropdown, then choose the value you want the report to include.

    For example, you could choose contractors or distributors.

  2. To filter by payment group, select the Summary dropdown, and then select the summary you want the report to cover.

    To include all summaries, do not select anything.

  3. To set the report to show results for a specific supplier or range of suppliers, use the From supplier and To supplier dropdowns.
  4. To filter by multiple vendors, select Multiple suppliers and then select Select suppliers.

    On the Select suppliers popup, select Add to add a supplier or add a range of suppliers.

  5. To sort by supplier group, select Supplier group and then select the group from the dropdown.
  6. In Show one-time suppliers, select the Include option to include suppliers who you use occasionally (or "one-time").

    Select the Grouped option to include one-time suppliers as a stand-alone group. Select Exclude if you do not want to include one-time suppliers in your report.

  7. In Based on, select Document date to base your report on the date that its corresponding document was created, or select GL posting date to base it on when the transaction posted to the GL.
  8. Select the Include all suppliers checkbox to include transactions from all suppliers, including those with zero balances.
  9. Select Include zero balance suppliers with activity to include accounts with zero balances.

Multi-entity, multi-currency filters

Multi-entity and multi-currency companies specify the type of currency, the location, and the department in their filters.

Transaction Currency

If you are a multi-currency company, you can filter transactions based on a specific currency. (This field is visible only in a multi-currency environment).  From the Transaction currency dropdown list, select the currency you want the report to show.  If you do not select a currency, the report includes transactions in your base currency.

Location and Department

The following filter options appear only if you work in a multi-currency and multi-entity environment.

  • To filter the report by geographic location, enter the name of the region, country, state or territory, or city in the Location box, or select the down arrow, and then select the location you want from the list that appears.
    Location is required to run this report at the top level. The location you specify determines the appropriate currency.
  • To filter the report by department within the company, enter the name of the department in the Department box, or select the down arrow and then, from the list that appears, select the department you want.
  • To override the selection in the Location box, use the Show for field.

    Where you are in the organization affects what the report includes.

    • All locations: include data for all locations regardless of the entity you're currently using.
    • This location: only display the data of the location/entity/group you selected but not display the data of its children.
    • Child locations: only display the data of the children of the location or entity selected.

Transactions with multiple line items from different locations

When you create a transaction with multiple line items from different locations, the report doesn't filter at the line level.

For example, using the same setup, if you have a single transaction that includes:

Line

Location

Amount

1

California

$1000.00

2

New York

$1500.00

No matter what you select in the Show for option, the report will show $2,500.00, which is the total, not individual lines.

The following table describes each item in the Filters section of this report settings page:

Filter box Notes

Supplier type

Enables you to get data only for the type of supplier you specify here. By default this box is blank, which means the report will get results for all supplier types.

Summary

Enables you to get the data within the summary selected. By default this box is blank, which means the report will get results for all summaries.

Supplier selection

Range: This option lets you set the report to show results for a specific supplier or range of suppliers with the From supplier and To supplier dropdowns.

By default these boxes are blank, which means the report will get results for all suppliers.

With this option, you can choose to Include child suppliers in your filter results.

Multiple suppliers: This option lets you add multiple suppliers and ranges of suppliers to better target your report results.

Supplier group: This option lets you filter for all suppliers within a particular suppliergroup.

Transaction urrency

Enables you to specify the filter for transaction with that currency.

By default this option is clear, which means the report contains transactions of all currencies. However, the report itself is in base currency.

Exclude credit card transactions from report

Enable this option to run the reports without including credit card transactions that have posted to AP but don’t have a payoff associated yet. This helps ensure that the AP Ledger report ties properly to the AP GL account.

Location

Enables you to limit report results to a specific location or location group.

Only appears for multi-currency, multi-entity companies.

Department

Enables you to limit report results to a specific department group.

Individual report

Select this checkbox if you want each entity or department, location, or both to have its own report. Due to their potentially large size, reports with departments and locations on individual pages can be run offline only. Therefore, if you select the Individual report option, you can select only Process and store. When you select Individual reports, all of the individual reports are contained in a single report or Excel workbook.

Prompt on run

Used when you memorize a report and go to memorized reports. When you run the report you do not see any of the filters.

With a prompt, the user makes the selections prior to running the report or accepting what was previously saved in the memorized report.

Show one-time suppliers

Suppliers who you use occasionally (or "one-time") are normally excluded from the report. You can include them in the report by selecting Include, or include them as a stand-alone group by choosing Grouped.

Based on

You can choose to base the report on when the corresponding document was created or when the transaction was posted to the GL. You can see the Based on date type at the head of the report.

Include all suppliers

Display all suppliers, including those with zero balances.

Include zero balance suppliers with activity

To see all suppliers and exclude those with zero balance with the exception of suppliers that have zero balance but activity for the period select this option.

Show for

Select to show different views of the data, based on the location or entity you choose:

All locations: This option shows the data that's posted to the location or entity and its children.

This location: This option shows only the data that's posted to the location or entity you select. The data posted to any child location is not shown.

Child locations: This option shows only the data that's posted to the child locations of the location or entity that you select. Any data that's posted to the parent location or entity is not shown.

Example:

Suppose your location is United States > California > San Francisco.

All locations would show transactions for United States, California, and San Francisco.

This location would show transactions for United States.

Child locations would show transactions for California and San Francisco only.

Formatting

Use this section to specify the sort order and to change the page layout of the report.

Titles and footer

Titles, subtitles, and footers apply only to the print versions of this report. Export to Excel or CSV, or select Print for a PDF version.

Titles, subtitles, and footers apply only to the print versions of this report. Export to Excel or CSV, or select Print for a PDF version.

What's in this report?

The default AP Ledger report consists of the following columns:

Report column heading Description
Based on

The date filter on which the report is based:

  • Document date
  • GL posting date
Supplier

The supplier or suppliers on which you filtered.

Date

The document or GL posting date, depending on your filtering selection.

Document

The document ID, for example, the cheque number for a payment by cheque.

Reference

A number such as an associated purchase order or account number.

Memo

The ID associated with your supplier and the supplier name.

Charges

The debits posted to the supplier account for the selected period.

Payment

The credits posted to the supplier account for the selected period.

Balance

The total amount of balance you owe to the supplier for the selected period.

Total

The total amount of the balance you owe to the supplier for the selected period.

You can select any link to drill down to the details.

What are external credits?

External credits are adjustments, advances, or negative AP supplier invoices that are owned by one entity but applied to AP supplier invoices in another entity.

For example, you have an AP supplier invoice from your San Francisco entity and an adjustment from your Los Angeles entity. Within the San Francisco entity, you apply the adjustment as a credit to the AP supplier invoice.

When you run the ledger report from either entity for that period, you see an External credit applied entry.

To view external credits from the top level, filter ledger reports by entity. External credits appear only in the period in which they occur.