QuickBooksHelpIntuit
Create a Cash Disbursements Journal report
by Intuit•1• Updated 2 months ago
This report shows you all of the checks you have written within the selected time period, with a subtotal for each payee, and a grand total at the bottom of the report.
- From the QuickBooks Reports menu, select Custom Reports then click Transaction Detail.
- Enter the appropriate date range.
- In the Columns box, check off the following columns:
- Type
- Date
- Num
- Memo
- Clr
- Split
- Amount
- Click the Total by drop-down and select an appropriate criteria like Payee, Account or Month.
- Go to the Filters tab.
- From the filters list, select Transaction type.
- From the Transaction Type drop-down, choose Multiple transactions then check off the following:
- Check
- Bill payment
- Paycheck
- Liability payment
- Sales tax payment
- Click OK.
- Choose the Detail level filter and select Summary only.
- Click OK.
Note: This report will not show each split account by name. Whenever there is more than one split account, the report will show the word SPLIT in the Split column.
You may also want to see Create a Cash Receipts Journal report.
Sign in now for personalized help
See articles customized for your product and join our large community of QuickBooks users.
More like this
- Create a Cash Receipts Journal reportby QuickBooks•8•Updated June 18, 2024
- Create a Cash Disbursements Journal reportby QuickBooks•10•Updated June 18, 2024
- Resolve accounts receivable or accounts payable balances on a cash basis balance sheet in QuickBooks Onlineby QuickBooks•406•Updated September 12, 2024
- Use Check or Deposit Detail Reports to show transaction links and mimic Cash Receipt Reportby QuickBooks•5•Updated 2 years ago
- Differentiate Cash and Accrual basisby QuickBooks•29•Updated June 21, 2024