Skilled Nursing Facilities

Journal Entries Report

The Journal Entries Report provides a summary of transactions for the month. You can run the report just before month close, and it provides summary or detail of journal entries to be entered or imported into the General Ledger. It is also used on the Month End Close Checks dashboard to validate Current Days Check and Past Days Check. 

Note

When you select Trust under Journal Entries to Include on the report setup, the account numbers are pulled from the Trust Control and Trust Resident Accounts. To review the accounts, navigate to Admin > Setup > Trust Setup > Control Accounts and Resident Accounts.

The Trust account numbers are not included in the Admin Chart of Accounts setup. If you are posting the Trust journal entries to your general ledger, you can confirm the accounts are available in your chart of accounts.

  1. Do one of the following: 

    • Single FacilityAdmin > Reports > Billing > Journal Entries.

  • Click the information icon to see instructions to download the report.

  • At the facility, the selection for Trust appears in Journal Entries to Include when you select Allow Current/Next Period Batches/Transactions in Trust Configuration.

  • When you select CSV for the Report Output, you can only select Summary or Detail. An additional option for Other Information appears to select Include Primary Keys. Click the information icon for information regarding primary keys.