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Report 3 (manual export): Trial Balance (trial_balance)

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This is Report 3: Trial Balance (trial_balance).

This guide explains how to export daily revenue and ledger data from Opera PMS — one file per historical date — so your PMI system can accurately ingest your financial history. Use this report to build out day‑by‑day revenue data, ensuring your analytical foundation is complete and precise.

Step 1

  1. Back in the report overview, write trial in the Report field and click on Search
  2. Choose Trial Balance (REP name should be trial_balance)
  3. Click on OK

Step 2

  1. The date should be yesterdays date, click on File

Step 3

  1. Click on Save
  2. Choose disc: J:\nightrun (NB: disc and folder may be different – check property specific instructions)
  3. Enter the filename trial_balance.txt
  4. Click on Save