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Budget Entries vs GL Entries

Here is the skinny, i wrote a report that uses posted transactions from the G/L Entry table. It creates individual sheets for each Global Dimension 2 Code. And within each sheet, it groups by Global Dimension 1Code and then fills in GL entries for each Global Dimension 1 Code. The report works fine but…..

If a combination of Global Dimension 2 Code, Global Dimesnion 1 Code, and GL account doesn't have a posted transaction, it doesn't show up in the report, but it does have a budget, so i need it to show up in the report because it has a budget value.

So what i am saying is if it has a budget entry, AND OR Posted GL ledger entery, then show up in the report.

So i have to search both the GL Budget Entry table and the GL Entry table to see if the combinations exist, and if they do, show up on the report, i have been trying a union NP, but i am having problems…here are my NL's below to give me the sheets and groupings and data for my report.


=NL("Sheets","g/l entry","Global Dimension 2 Code","Posting Date",$D$3,"Global Dimension 1 Code",$D$4,"Global Dimension 2 Code",$D$5,"G/L Account No.",$D$6)

=NL("Rows=4","g/l entry","Global Dimension 1 Code","Posting Date",$D$3,"Global Dimension 1 Code",$D$4,"Global Dimension 2 Code","@@"&$E14,"G/L Account No.",$D$6)

=NL("Rows","g/l entry","G/L Account No.","Posting Date",$D$3,"Global Dimension 1 Code","@@"&$G15,"Global Dimension 2 Code","@@"&$E15,"G/L Account No.",$D$6)


Does anyone have an idea how i can rewrite my formulas?

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