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Previously in Pak Accounting, in order to print a spreadsheet with hand selected leases you had to hard-code the leases into the Report Definitions (See the Report Definitions Listing for Spreadsheet 120/121 below). This is no longer the preferred practice because the Sub-Account tab allows leases to be selected on demand by defining the lease Sub-Table and "moving" the desired leases from the "List of All Items" to the "List of Selected Items."
However, if you have a need to hard-code leases, you must enter six to be reported on or an error will occur.
Note: the ^X01S, ^X02S and ^X03S are special substitution Sub-Accounts that represent the first, second, and third Sub-Accounts selected in the screenshot below. The ^X01N, ^X02N, and ^X03N are also special substitution codes for the Sub-Account descriptions.