We need to provide auditors with a report showing the details of a bank transaction, including the G/L account number/name for the Accounts payable entry.
We ran the "Payment summary by date report." This report provides the bank transaction date, vendor account, vendor name, and aggregated total amount transferred to the bank. We are trying to create this report in Datalake, but we are having trouble figuring out which table/fields to link the data from the bank transactions to the accounts payable that will bring in the G/L account.
We would appreciate it if anyone could share their expertise.
Thank you for your attention.