Finance Reports

An overview of the reporting views available in the Sales & Finance section of Academy.

Updated at March 20th, 2026

Academy's Sales & Finance module provides a comprehensive set of reporting views that allow you to track orders, monitor transactions, analyse revenue, and manage financial data. This document provides an overview of each report type, explaining what it shows, the data columns available, and how to use key features such as filtering and exporting.

To access these reports, navigate to Sales & Finance in the left-hand menu. The module is organised into three main sections: 

  • Orders and Transactions
  • Payment Settings
  • Exports

 

Note: The reports you will have access to depends on your Sales and Finance role. 

This is managed via the user profile, under the Finance & Sales tab. For more information, visit our help article on Managing Sales and Finance Permissions

 

Common Features Across Reports

Most of Academy's finance reports have similar search and filter options.

Control

Description

Search

A text search field at the top of the report. Type a keyword such as an order number, purchaser name, or program name to filter the table.

Filter

Opens a panel with attribute-based filters specific to each report. These filters allow you to narrow results by date ranges, statuses, amounts, and more.

Save

Saves the current view configuration, including any active filters and column settings. Available on most report views.

Export

Downloads the current report data as a file. The export includes all records matching your current filters, not just the visible page.

Report Fields

Opens a panel where you can select which fields to include when exporting. Fields are grouped into categories for easy selection. Available on Transactions and Transaction Items.

 

Sales Orders & Proposals Report

The Sales Orders & Proposals view is the central hub for tracking all sales orders and proposals throughout their lifecycle. It provides visibility over draft orders, active proposals, completed sales, and orders requiring attention.

The left-hand panel organises records into the following categories:

Tab

Description

Draft Sales Orders

Orders that have been created but not yet finalised or sent to the customer.

Draft Proposals

Proposals that are still being prepared and have not been sent to the customer.

Proposals In Review

Proposals that have been sent to the customer and are awaiting their response.

Recently Expired

Proposals or orders that have passed their expiry date without being actioned.

Cancelled Proposals

Proposals that were cancelled before completion.

Abandoned Orders

Orders that were started by a purchaser but not completed.

Pending Payment

Orders where the purchaser has confirmed but payment has not yet been received.

Overdue

Orders where payment is past the due date.

Sales

Completed and confirmed sales orders.

 

Report Columns

Sales Orders & Proposals report displays the following columns. Scroll right to view all columns.

Column

Description

Order Number

The unique identifier for the order.

Purchaser

The name and email address of the person or organisation purchasing.

Owner

The Academy user who owns or manages this order.

Order Type

The type of order, such as Customer Order or Sales Order.

Updated Date

The date the order was last modified.

Created Date

The date the order was originally created.

Total Price

The total price of all items in the order before tax.

Discount Amount

Any discount applied to the order.

GST

The goods and services tax calculated for the order.

Total Amount Due

The final amount payable, including tax and discounts.

Number of Programs

How many programs are included in the order.

Number of Learners

How many learners are enrolled through this order.

 

Use the Export button to download data, and Report Fields to customise which columns appear in your export. Report fields are grouped into categories, making it easy to select the data you need.

 

Transactions Report

The Transactions report provides a complete view of all financial transactions, including invoices and credit notes. It features a quick financial snapshot at the top, including:

  • Invoice value
  • Outstanding amount
  • Paid amount

Tab

Description

All Transactions

Displays every transaction record, including invoices and credit notes.

Credit Notes

Shows credit notes that have been issued. Each credit note has a document number.

Voided

Transactions that have been voided and are no longer active.

Write Offs

Transactions that have been written off as unable to be collected.

 

Report Columns

The transactions table includes the following columns:

Column

Description

Document Number

The unique identifier for the transaction. Click View to open the full transaction record.

Transaction Date

The date the transaction was created.

Transaction Origin Type

Indicates how the transaction was created. This value is set when the transaction is generated and reflects the action that produced it, for example Sales Order, Sales Refund, or Customer Order.

Transaction Type

Indicates whether the transaction is an Invoice or a Credit Note. An Invoice represents a charge. A Credit Note represents a reduction, refund, or reversal of a previous charge.

Due Date

The date by which payment is expected.

Payment Status

The current payment state – such as Paid or Pending Payment.

Paid Date

The date that the payment was made in Academy.

Mark as Paid Date

The date that payment was received by the invoicing system.

Purchaser

The name and email of the purchaser.

Total Programs

The number of programs included in this transaction.

Total Enrolments

The number of enrolments in this transaction.

Price Ex Tax

The amount before tax and discounts.

Discount Percent

The discount percentage applied.

Discount Ex Tax

The discount amount excluding tax.

Non Taxable Amount

The portion of the transaction not subject to tax.

Taxable Amount

The portion of the transaction subject to tax.

Subtotal

The total before tax is applied.

Tax Percentage

The tax rate applied to the taxable amount.

Tax Amount

The total tax calculated for this transaction.

Total

The total transaction value including tax.

Total Credits Applied

The amount of credit applied to this transaction.

Amount Due

The remaining balance payable on this transaction after any credits have been applied.

Amount Paid

The total amount received against this transaction after any credits have been applied.

Currency

The currency of the transaction (for example, AUD).

Billing Entity

The billing entity associated with this transaction.

Payment Method

How the transaction was paid (for example, Stripe-card, Pay Later by Invoice, or No Payment Required).

Transaction Date

Transaction date, with the Date & Time converted to the Billing Entity Timezone.

The Transactions report offers extensive filtering through two categories: Transaction Attributes and Purchaser Attributes.

Use the Export button to download data, and Report Fields to customise which columns appear in your export. Report fields are grouped into categories, making it easy to select the data you need.

 

Transaction Items Report

While the Transactions report shows data at the invoice level, Transaction Items breaks transactions down to the individual line-item level. Each row represents a single fee or purchase item within a transaction, giving you detailed insight into what was sold, to who, and at what price.

 

Report Columns

Column

Description

Document Number

The parent transaction’s document number. Click View to open the full transaction.

Issue Date

The date of the parent transaction.

Transaction Origin Type

Indicates how the transaction was created. This value is set when the transaction is generated and reflects the action that produced it, for example Sales Order, Sales Refund, or Customer Order.

Participant / Learner

The name of the individual learner enrolled.

Enrolment Id

The unique identifier for the learner’s enrolment.

Program

The name of the program the learner is enrolled in.

Program Start Date

When the program begins.

Program End Date

When the program ends.

Item Type

Whether the line item is a Fee or a Purchase.

Transaction UUID

A unique identifier for the transaction in the system.

Purchaser

The person or organisation that made the purchase.

Description

A detailed description of the line item, including the program name and pricing details.

Unit Price

The price per unit for this item.

Discount %

The discount percentage applied.

Discount Amount

Any discount applied to this line item.

Subtotal

The total before tax is applied.

Tax %

The tax rate applied.

Tax

The tax amount calculated.

Line Total (Inc. Tax)

The total for this line item, including tax.

Payment Status

Whether this item has been paid (for example, Paid or Pending Payment).

Payment Method

How the payment was made (for example, stripe-card or pay_later_by_invoice).

Revenue Date

The date when this revenue is recognised.

Reference Code

A reference code for the transaction (if applicable).

PO Number

The purchase order number for the invoice.

Enrolment Status

The date when this revenue is recognised.

Revenue Date

The current status of the enrolment.

Currency

The currency of the transaction (for example, AUD).

Billing Entity

The billing entity associated with this transaction.

Program Code

The program code (if applicable).

Reference Code

A second reference code for the transaction (if applicable).

Transaction Date

Transaction date, with the Date & Time converted to the Billing Entity Timezone.

Like the Transactions report, Transaction Items supports filtering, exporting, and Report Fields for customising exports.

Note: Transaction Items is particularly useful for detailed financial reconciliation and for identifying specific line items within larger orders.

 

Sales by Program Report

The Sales by Program report organises financial data by program, allowing you to see at a glance how each program is performing in terms of sales, capacity, enrolments, and learner movements. This is useful for understanding program profitability and tracking seat availability.

The main Sales by Program report has several viewing modes, accessible via the dropdown at the top of the report, including:

  • All Time
  • Last 7 Days
  • Last 30 Days
  • This Calendar Month
  • Last Calendar
  • Month Date Range

Tab

Description

Current and Future Cohorts

Programs with cohorts that are currently running or scheduled to start in the future.

Past Cohorts

Programs with cohorts that have already concluded.

All Cohorts Displays all cohorts regardless of their timing, combining current, future, and past cohorts into a single view.

Start Anytime Programs

Programs where learners can enrol and begin at any time, without a fixed cohort schedule.

Archived Start Anytime Programs

Start Anytime programs that have been archived and are no longer actively offered.

Transaction Fees Displays all transaction fees by transaction item, or by program. 

 

Report Columns

The Sales by Program report provides a wide range of data points. Scroll right to view all columns.

Column

Description

Program

The program name and cohort identifier. Click View to open the program’s detail page.

Reference Code

The program reference code (if applicable).

Reference Code 2

The second program reference code (if applicable).

Org Unit The customer associated with the program.
Org Unit The organisational unit associated with the program.

Net Sales Ex. Tax

Sales value after refunds, withdrawals, transfers, void & write-offs are deducted.

Gross Sales Ex. Tax

Total value of all sales transactions before refunds, withdrawals, transfers, void & write-offs are deducted.

Net Tax

Total value of tax applied to sales transactions after refunds, withdrawals, transfers, void & write-offs are deducted.

Refunds Ex. Tax

The total value of refunds issued, excluding tax.

Withdrawals Ex. Tax

Total value of enrolments withdrawn from the program.

Transfers Out Ex. Tax

Total value of enrolments transferred out to other programs.

Write Offs Ex. Tax

Total value of enrolments written off from the program.

Voids Ex. Tax

Total value of enrolments voided from the program.

Adjustments Ex. Tax

Combined value of refunds, withdrawals, and transfers, void and write-offs.

Revenue Ex. Tax

The portion of Net Sales that has been recognised as revenue once the revenue date on the transaction line item has been reached.

Current Unrecognised Revenue Ex. Tax

The portion of Net Sales with a future revenue date. This reflects the current state of the program and is not affected by the selected date filter.

Advertised Price

The listed price for the program.

Avg Seat Price

Average amount paid per enrolment after discounts are applied.

Current Enrolments

Current enrolments, including learners enrolled by Direct Enrolment.

Current Paid Enrolments

Number of paid learners currently enrolled, excluding withdrawn or transferred enrolments.

Max Capacity

The maximum number of seats available for the program.

Capacity Filled

The percentage of available seats that have been sold.

Days Until Close

Number of days remaining before enrolments close.

Enrolment Close Date

The date enrolments close.

Revenue Date

The nominated revenue date for the program. If this date is changed, revenue will be recognised based on the revenue date recorded on the transaction.

Start Date

The program’s start date.

End Date

The program’s end date.

Delivery Mode

How the program is delivered (for example, Face-to-face or Blended).

Seats Sold

Total number of seats sold for this program, including enrolments later cancelled or transferred.

Refunds

The number of enrolments that have received a refund and remain in the program.

Withdrawals

The number of paid enrolments that have been withdrawn from the program.

Transfers

The number of paid enrolments that have transferred out of the program.

Active Enrolments

The current number of active enrolments in the program.

Refunds

The number of refund transactions for this program.

Withdrawals

The number of withdrawal transactions.

Transfers

The number of transfer transactions.

Write Offs

The number of enrolments that have been written off from the program.

Voids

The number of enrolments that have been voided from the program.

Substitutions

The combined count of refunds, withdrawals, and transfers.

Currency

The currency used for this program’s pricing (for example, AUD).

Billing Entity

The billing entity associated with this program.

Use the Export button to download data, and Report Fields to customise which columns appear in your export. Report fields are grouped into categories, making it easy to select the data you need.

 

Program Sales Dashboard

The Program Sales Dashboard provides a detailed financial overview for an individual program, including real-time sales performance, revenue data, and enrolment trends. It helps you track progress toward sales targets and understand how your program is performing financially.

Access the Program Sales Dashboard by clicking View next to any program in the Sales by Program report.
The top of the dashboard displays key program details, including the delivery mode, revenue date, enrolment close date, and start and end dates.

Key Metrics

The Sales by Program report provides a wide range of data points. Scroll right to view all columns.

Metric Description
Gross Sales Ex. Tax Total gross sales revenue, excluding tax.
Net Sales Ex. Tax Gross sales minus adjustments such as refunds and withdrawals, excluding tax.
Revenue Ex. Tax Revenue that has been recognised, excluding tax.
Unrecognised Revenue Ex. Tax Revenue that has been recorded but not yet recognised, excluding tax.
Adjustments Ex. Tax The total value of adjustments applied, such as refunds, withdrawals, and transfers, excluding tax.
Seats Sold The number of seats sold out of the total available capacity (for example, 3/24).
Avg. Price Per Seat The average revenue per enrolment. Also shows the percentage relative to the advertised price.
Total Discounts Applied The total value of discount codes applied to this program.
Withdrawal & Transfer Fees Fees charged for withdrawals and transfers.
Admin Fees Ex. Tax Any administrative fees charged, excluding tax.

 

Custom Exports

The Custom Exports section, found under the Exports heading in the left-hand menu, provides access to system-generated export files. These are typically automated files produced by integrations or scheduled processes.

The Custom Exports list displays two columns:

Column

Description

File Name

The name of the exported file. Click on a file name to download.

Created Date

The date and time the file was generated.

Custom Exports include outstanding invoices files, payment records, transaction exports, and daily payment gateway files. These files are sorted by date, with the most recent exports appearing first.

Note: Custom Exports files are generated automatically by the system. They are useful for importing data into external accounting or reporting tools.