Consolidated Cash Summary by Organisation

Generate Multi-Entity and Multi-Currency Consolidated Cash Summary By Organization Report from Xero into Google Sheets

SECTIONS IN THIS ARTICLE

Design Template
Schedule Automatic Refresh
Modify Template
YouTube Videos


Generating Consolidated Cash Summary By Organization Report:

  • Go to the menu and select “Extensions
  • Choose “G-Accon for Xero“.
  • Click on “Get Accounting Data/Reports

Consolidated Cash Summary By Organization report in Google Sheets

#How to design a template for the report?

  • Select “Consolidated Reports

Consolidated Reports menu option

  • Select the required Xero Organizations/Entities

Select at least two organizations

  • Choose “Cash Summary By Organisation” report from dropdown box.

Select parameters

Required Attributes

There are required and optional attributes for the Consolidated Cash Summary By Organization report.

G-Accon for Xero provides the ability to set up the Date Range for your data manually or you can refresh your data dynamically.

Dynamic Date Range: The report data will be calculated based on pre-populated values like Today, This Month, This Quarter, This Year, Last Month, etc.

Static Date Range: Define specific start and end dates.


Custom Date Range: Utilize cell references in your Google Sheet to set custom dates.

To compare with ( ### ) periods

Sort Previous Periods

Include Tax Sales( required)


CHANGE PULL SETTINGS

Customize report behavior with these optional features:

  • Create a New Google Sheet: Generate the report in a new tab or worksheet.
  • Display Report Title: Include and display the report title within the spreadsheet.
  • Retrieve Headers: Include and display column titles for your data.
  • Display Only Account Codes: Display only account codes instead of full account.
  • Display Only Account Names: Present only account names.
  • Freeze Data Table Header: Lock the header row or column to keep it visible while scrolling through the data.
  • Create a Data Table Around Pulled Data: Organize your data into a structured table format.
  • Keep Original Formatting: Preserve the original formatting of the data.
  • Remove Empty Dividing Rows: Eliminate any empty rows that separate your data.
  • Exclude from Auto Refresh (Discontinuing): Prevent the spreadsheet from auto-refreshing, though note that this functionality may be outdated.
  • Display Only Report Summary: Filter and display only the rows containing summary, no data rows will be displayed.
  • Remove Totals/Summaries Rows: Remove rows with Totals and Summaries in the report.
  • Create Deep Links to Xero: Generate links for accessing specific items in Xero.
  • Highlight Every Other Row: Apply a formatting style to alternate rows to improve readability.
  • Append to the Previous Template: Add the new data or changes to an existing template.
  • Add Company Name Column: Introduce a column to include the company name.
  • Group Rows By Account: Group and display report data by Accounts.

You can also provide the start cell, for instance, A1. And provide the name of the template in Template Name field, for instance, Template Name #1.

MULTI-CURRENCY CONVERTER

If you need to generate the report in a specific currency, follow these steps:

  • Choose the report currency (e.g., “US”).

    Decide how to get exchange rates:
    • Use Latest Rates: The report uses the latest available exchange rate.
    • Use Custom Rates: Set your own exchange rates for a specific date or create a separate tab with multiple custom rates.
    • Use Custom Rates for Periods: Set custom rates for specific periods in the same way.

Using Latest Rates: If you select “Use Latest Rates” and click “Execute,” the report uses the latest exchange rate from the provider each time you refresh the report.

Using Custom Rates: Choose “Use Custom Rates,” specify a date, and decide whether to get rates directly or create a separate tab with custom rates. This feature lets you manually adjust exchange rates for the report.

Using Custom Rates for Periods: Select “Use Custom Rates for Periods” and set custom rates for specific periods. You can use the exchange rate screen or create a separate tab with cell reference for this purpose.

Finally, click “Execute” to generate the report in your chosen currency, and it will appear in your Google Sheet.

Consolidated Cash Summary By Organization report in Google Sheets

In a very similar way, you can generate Profit And Loss and Balance Sheet consolidated reports. 


#How to schedule automatic data refresh?

To schedule automatic data refresh, follow these steps:

  • Create a workflow by selecting the “Automation” menu option –> “Create Workflow” option.
  • In this workflow, you can set up auto-refresh and notification processes.
  • Automatic workflows allow you to create various workflows, add specific templates, and set different schedules for each workflow.
  • You can also notify customers, clients, and team members with various automatic notifications, all within the same spreadsheet.
  • For more details, refer to the “Create Workflow” documentation here.


#How modify your report and update your template?

During the refresh process, if you need to modify your report, follow these steps:

  • Click on “Extensions” in the menu.
  • Choose “G-Accon for Xero
  • Select “Edit Templates for Current Sheet
  • To Refresh and Modify a template there is no need to be signed in into the organization

Select the template, make the necessary changes to it and Update the template or Update and Execute  the new query.