- From the Account Management screen select the Budgetary Data Mining option located under the Account Management Reporting section.
- Select the Audit Trial Balance report, then on the right-hand side of the screen, select the Excel button.
- In the report’s Runtime Parameters screen, select the final month of your fiscal year AND the year(s) you plan to include in your onboarding data.
Note: You will need to run a Trial Balance report for each fiscal year!
- Save the file as an Excel document
Note: Make sure to include the fiscal year in the file’s naming convention (i.e., “FY25TrialBalance”)
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