Funds Ledger Report - File Layout and Data Mapping
The default file names for the Funds Ledger report are:
Excel: IN Funds Ledger Report_<MMDDYYYY_hhmmss>.csv
PDF: IN Funds Ledger Report_<MMDDYYYY_hhmmss>.pdf
The following table shows the columns, column names, descriptions, and data sources or valid values for the Funds Ledger report’s .csv format.
Column | Column Name | Description | Data Source or Valid Values |
|---|---|---|---|
A | START PERIOD | The beginning accounting period for the report date range. Represents the fiscal period number (1-13) from which the report calculations begin. | Retrieved from the Start Period field on the IN Funds Ledger Report page. |
B | START YEAR | The beginning fiscal year for the report date range. The year when the reporting period starts (e.g., 2024). | Retrieved from the Start Year field on the IN Funds Ledger Report page. |
C | END PERIOD | The ending accounting period for the report date range. Represents the fiscal period number (1-13) through which the report calculations run. | Retrieved from the End Period field on the IN Funds Ledger Report page. |
D | END YEAR | The ending fiscal year for the report date range. The year when the reporting period ends. Can be the same as or different from the start year for multi-year reports. | Retrieved from the End Year field on the IN Funds Ledger Report page. |
E | FUND | The fund code from your general ledger system. Identifies the specific fund for which financial activity is being reported. | Retrieved from the Fund field on the IN Funds Ledger Report page. |
F | FUND TITLE | The descriptive name or title associated with the fund code. Provides a clear and concise description of the fund's purpose. | Retrieved from the Title field on the Organization Chart page. |
G | BEGINNING BALANCE | The cash balance at the start of the reporting period (i.e., before the beginning of the period). | The valid value is calculated from transaction records before the report start date. |
H | CURRENT PERIOD RECEIPTS | Revenue received during only the current/ending period of the report. Shows receipts for the final period only within the specified date range. | The valid value is the sum of expy (ending period) for all revenue transaction records for the fund except those identified as transfer in accounts. |
I | CURRENT PERIOD EXPENDITURES | Expenses incurred during only the current/ending period of the report. Shows expenditures for just the final period in the date range. | The valid value is the sum of expx (beginning period) through expy (ending period) for all expenditure ledger records for the fund, excluding those identified as transfer out accounts. |
J | PERIOD SPAN RECEIPTS | Total revenue received across the entire date range, from the start period/year through the end period/year - cumulative receipts for all periods in the report span. | The valid value is the sum of expx (beginning period) through expy (ending period) for all revenue transaction records for the fund except those identified as transfer in accounts. |
K | PERIOD SPAN EXPENDITURES | Total expenses incurred across the entire date range, from the start period/year through the end period/year - cumulative expenditures for all periods in the report span. | The valid value is the sum of expx (beginning period) through expy (ending period) for all expenditure ledger records for the fund, excluding those identified as transfer out accounts. |
L | PERIOD SPAN TRANSFER IN | Total transfers into the fund from other funds during the entire report period span. Based on the transfer accounts defined on the IN Funds Ledger Report - Transfer Setup page. | The valid value is the sum of expx (beginning period) through expy (ending period) for revenue transaction records for those records that are identified as transfer in accounts. |
M | PERIOD SPAN TRANSFER OUT | Total transfers out of the fund to other funds during the entire reporting period. Based on the transfer accounts defined in the Transfer Setup page. | The valid value is the sum of expx (beginning period) through expy (ending period) for expenditure ledger records for those records that are identified as transfer out accounts. |
N | ENDING BALANCE | The final cash balance at the end of the reporting period. | Calculated as: Beginning Balance + Period Span Receipts - Period Span Expenditures + Period Span Transfer In - Period Span Transfer Out |
The GRAND TOTALS row is included if All Information is selected on the IN Funds Ledger Report page.