Transaction Auditing

For transaction Auditing (especially Payments & Receipts) the internal auditor has to edit each voucher to audit (auditing includes reviewing description, account selected, amount, and tracking code). Such method requires a lot of time.

How to make a custom report showing all required elements for auditing: description, account selected, amount, and tracking code?

Appreciating the help.

Quite easily with a custom report

Would be thankful, if you show me how?

Start from this one and add the additional fields you need.

Appreciated