1. Click Queries
  2. Click Manage Queries
  3. Select a category that you want to store this query in
  4. Select New Query under the tasks menu
  5. Name the query Transactions Imported on [Date]
  6. Set the Starting criteria to Base/All Constituents
  7. Set the Data Return Type to Journal Entries
  8. Set the Criteria Matching to Match Each Critieria
  9. From the Criteria > Browse fields drop down box choose UDF: Transaction
  10. Click Data Source
  11. Click Show Disabled
  12. Check the box that corresponds with your import date and time
  13. Click Save and Preview