Generate Journal Entries
Generating journal entries posts transactions so that they update General
Ledger account balances. The generation of system journal entries can
be scheduled to occur at a specific date/time and recurrence for mid-month
financial reporting. If the Journal
Entry Approval Process is enabled, journal entries generated using
this action are assigned a System Approved
status.
If Generate month-end journal entry
detail file is selected in System
Settings, a Microsoft Excel
file backing up the journal entries is automatically created and saved
to the designated path. The file contains detailed information on all
transactions and transaction process rows that affect the account balances.
Note: This
article contains printing instructions that are only applicable if Applied
Epic is installed locally on your computer. If you access Epic through
a web browser such as Google Chrome, Mozilla Firefox, or Microsoft Edge,
you cannot print directly from within the system. See Printing
for more information about the printing capabilities available from Epic
Browser. All other steps in this article are applicable to both methods
of accessing Epic unless stated otherwise.
- From the Home screen, do one of the following:
- Click Procedures
on the navigation panel.
- Click Areas
> Procedures on the menubar.
- Click the down
arrow next to Home
on the options bar and select Procedures.
From any other area of the program, do one
of the following:
- Click the down
arrow to the right of the Home
options bar button and select Procedures.
- Click Home
> Procedures on the menubar.
- Click Accounting
on the navigation panel or Areas
> Accounting on the menubar.
- Click
Month End
on the navigation panel.
- A list of accounting months displays. Do one of the following:
- Click Actions
> Generate Journal Entries on the options bar.
- Click
Actions >
Generate Journal Entries on the menubar.
- A list of Agencies displays,
with all agencies selected by default. Deselect any agencies for which
you are not generating journal entries. You can also click Deselect
All.
- In the Scheduling frame,
opt to generate the journal entries Now
or Schedule
them to be generated at a later time.
If you select Schedule:
- Select the date
and time
that the journal entries should be generated.
- Select a Recurrence:
- One Time Only
- Daily
- Every Weekday (M-F)
- Weekly
- Click Finish
or press [Enter].
Note:
If any in-process items exist for the month, a warning screen displays,
indicating the items that will not be included in the journal entries.
Review the list of entries. Click Yes
to proceed, or click No
to stop generating entries.
- To review the status of the journal entry
generation, click the Refresh
link label and check the value in the Last
Generated Status column in the Months
list.
- Processing: Journal
entries are currently being generated.
Note:
If the journal entry batch’s status remains Processing
for more than 30 hours and an activity is generated in General Ledger
Activities notifying you that it has failed, contact Applied Accounting
Support for assistance.
- Created: Journal entries
have been generated successfully.
- Failed: Journal entries
failed to generate. This might occur, for example, if a job were
already scheduled to generate journal entries for the same agency
at the same time.
- To view the generated journal entries, click the System Generated Journals link label.
The Generated Journal Entries
window displays.
- Use the Search where
bar to filter the journal entries that display in the list. You
can also click the Include Voided
Items link label to view voided month-end journal entries.
To hide the voided entries, click Exclude
Voided Items.
- To print the journal entries, click the Print
button
to the left of the list. Print the list as you would any other
document.
- Click Close
to close the Generated Journal
Entries window.