# Reports & Auditability

## Month-End Reports

In general, accountants will make use of two main reports during month end: a Closing Positions report, and a Realized Gains & Losses report.​Comment

### **Closing Positions Report**

The Closing Positions report provides the balances, token quantity, cost basis, and unrealized gain/loss on a specified date. This information is available by token, by NFT, and by wallet-token.

Get the Closing Positions report [here](https://app.integraltreasury.xyz/reports/balances-report?date=2023-05-11).

<figure><img src="https://3061199926-files.gitbook.io/~/files/v0/b/gitbook-x-prod.appspot.com/o/spaces%2Ft1fkaxq4yvhcAFiQKv7R%2Fuploads%2FCwfzYtA3DkpXYY2ppU4y%2Fimage.png?alt=media&#x26;token=1c24f58e-7e23-4af6-a23c-f721afdbf446" alt=""><figcaption></figcaption></figure>

### **Realized Gains/Losses Report**

The Realized Gains/Losses Report provides the total realized return, including short-term and long-term, during a specified date range (for example the month of April 2023). This information is available by token or by wallet.

Get the Realized Gains/Losses report [here](https://app.integraltreasury.xyz/reports/gain-loss-report?start=2023-04-12\&end=2023-05-12).

<figure><img src="https://3061199926-files.gitbook.io/~/files/v0/b/gitbook-x-prod.appspot.com/o/spaces%2Ft1fkaxq4yvhcAFiQKv7R%2Fuploads%2FOfhFEJSCcNAy68qedOsn%2Fimage.png?alt=media&#x26;token=7b66bb4a-4268-4c42-8441-c789fc3ecd50" alt=""><figcaption></figcaption></figure>

## Audit-Readiness Reports

It may be useful to have very detailed reporting for compliance and audit-readiness purposes.

**Account Transactions**

This report provides a detailed breakdown of every single transaction across all wallets, the token amounts, fiat amounts, realized gains/losses (where applicable), transaction hash, memo, from/to information, smart contract, and more.&#x20;

This report is used for many different reasons like context sharing across a team, documentation after a month-end, reporting, and more. Get the report [here](https://app.integraltreasury.xyz/reports/account-transactions-report).&#x20;

<figure><img src="https://3061199926-files.gitbook.io/~/files/v0/b/gitbook-x-prod.appspot.com/o/spaces%2Ft1fkaxq4yvhcAFiQKv7R%2Fuploads%2FrvSPGwJOtSnWXziLInHx%2Fimage.png?alt=media&#x26;token=1f7f0827-4918-4291-a148-bf298b1f0055" alt=""><figcaption></figcaption></figure>

**Cost Basis Report**

This report provides a detailed breakdown of every single deposit (read: tax lot) and its status on a specific date. For each deposit (tax lot), it details the acquired amount, disposed of amount, and token amount outstanding per the tax method of your choice (FIFO, LIFO, HIFO...).&#x20;

This report is typically used to tie out closing positions. Get the report [here](https://app.integraltreasury.xyz/reports/schedule-dispositions-report).&#x20;

<figure><img src="https://3061199926-files.gitbook.io/~/files/v0/b/gitbook-x-prod.appspot.com/o/spaces%2Ft1fkaxq4yvhcAFiQKv7R%2Fuploads%2FLJxAB4vXuAgSCuR18r4r%2Fimage.png?alt=media&#x26;token=926d7041-0e53-4b41-852c-0ee1ffac1080" alt=""><figcaption></figcaption></figure>

**Schedule of Dispositions**

This report provides a detailed breakdown of every single disposition during a time period, include withdrawals, the liquidation portion of token swaps, and fees. For each disposition, the cost basis, realized gain/loss, and tax lot information is included.&#x20;

This report is typically needed for tax accounting. Get the report [here](https://app.integraltreasury.xyz/reports/schedule-dispositions-report).&#x20;

<figure><img src="https://3061199926-files.gitbook.io/~/files/v0/b/gitbook-x-prod.appspot.com/o/spaces%2Ft1fkaxq4yvhcAFiQKv7R%2Fuploads%2FarLiELHyKsGzfhvoACgH%2Fimage.png?alt=media&#x26;token=23c187a3-68a0-4491-940a-c6b201438759" alt=""><figcaption></figcaption></figure>
