How To: Running Transaction Maintenance Audit (11-33-02)
Overview
This selection is used to print an audit trail of all transaction changes. Two audit reports print: one with the transactions as they were before the changes, and one with the transactions as they are currently.
NOTE: This selection prints an audit trail of transactions that were modified in Transaction Maintenance (11-32-01).
Step-by-Step
- From the ‘Vendor’ drop-down menu, select a vendor code. Select ‘All’ to include all vendors.
- In the ‘Reference #’ field, enter a new invoice number that was entered in Transaction Maintenance (11-33-01). Leave this field blank to include all invoice numbers.
- From the ‘Changed by Employee’ drop-down menu, select the employee that entered the changes to an invoice. Select ‘All’ to include all employees.
- In the ‘Changed From Date’ and ‘Changed To Date’ fields, enter date range for the report.
- Click the ‘Print’ button to print the audit.
Click the ‘Abort’ button to clear the fields without saving your changes and return to the ‘Vendor #’ field.
IMPORTANT: When printing to PDF, you must have an ‘Accounts Payables’ folder specified in Company PDF/Export Directory (30-04) or By Term PDF/Export Directory (30-05) in order for the PDF to save successfully to your computer.