This article will go through:


  • What is this Report for 
  • How to run this Report 
  • When to use this Report 
  • What to do with this Report 



What is this Report for


This report will allow you to see is the total of the Store Credits in Blackpurl which you would then reconcile to the relevant General Ledger account in your accounting package



How to run this Report 


  • From the Blackpurl Header > Reporting > Reports

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  • In our Blackpurl reports section > Reconciliation > Store Credit Liability account 




  • The report has been setup with the relevant filters / columns / totals that you need but what you need to get, is the total of Store Credits in Blackpurl 

    To do this - click on and review the total


When to use this Report  


This report should be done regularly - at the very least, at the end of the month so that you can balance out your Accounting Package Store Credit Liability General Ledger to your Blackpurl 



What to do with this Report


If the Dealership has Accounting Integration, this will now allow you to compare the Store Credit total in Blackpurl to the relevant Store Credit Liability General Ledger account in your Accounting Package


This article will assist you with further information on how to do the comparison - Balancing out Store Credit Liability to Blackpurl



More Information on Reporting


For more information regarding Reporting, please review the following articles:



  • This will provide you with details on how to schedule reports ie you want the report to generate once a month at midnight and be emailed to another Blackpurl User - Reporting - Scheduled Reporting