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On the Role Centre -> Actions -> Excel Reports there is the ability to export Account Schedules to Excel (Balance Sheet, Income Statement, Cash Flow Statement, Retained Earning Statement). The Account Schedules used are defined on the General Ledger Setup Reporting Fast tab.

When exporting to Excel these Account Schedules use the correct rows but only export a single column (Balance) they do not use the Default Column Setting that is defined against the Account Schedule.

This makes the functionality very limited in its usefulness. The export should respect the Default Column Setting as defined against the Account Schedule
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