Creating Reports and Statements

Depending on your reporting requirements, you can create standard statutory financial statements with Report Builder or create customized reports.

Creating a Statement or Report

Note: If you are creating Localization reports, review Localization Reports for important considerations.

Perform the following steps to create a new financial report or statement:

  1. Navigate to Report Builder | xRB Reports.
  2. Click New. Available options are General, or preconfigured Balance Sheet, Income Statement, Trial Balance, and Cash Flow Statement reports. All these preconfigured reports can be drilled, and can be edited to suit your reporting needs using Lightning cog icon. and Edit icon..
  3. Enter a name for your financial report or statement.
  4. Enter the number of required table configurations. A default range of table configurations are provided for all report types except General. The following number of table configurations are available depending on the report type:
    • General: 1-3 table configurations
    • Income Statement, Trial Balance, and Balance Sheet: 1 table configuration
    • Cash Flow Statement: 3 table configurations
  5. Enter the number of required filter configurations. You can select 1-5 filter configurations. A default range of table configurations are provided for all report types except General.
  6. [Optional] Enter a description.
  7. Click Save. Your new financial statement opens. You can now configure your financial statement.
Note:

After creating one or more reports, you can use the Group field on the xRB Report object to group your reports using a list view. For more information, see xRB Report Fields.

More filters can be added to your financial statements and reports if required. See Configuring xRB Report Tables for more information.

Preconfigured Reports in Report Builder