Full Accounting - Journals on Asset Group

This feature is only available on the following Asset Group accounts:

  • Assets
  • Liabilities
  • Owners Equity

To do a double-entry journal on your Asset Group, follow the steps below:

  • Navigate to Accounts -> Accounts Dashboard
  • Select Asset Group Accounts from the drop-down list at the top

  • Search for the Asset Group in the Search field and click on View
  • At the top, select the Account you wish to make a journal entry on as shown below

  • Click on Add Transaction and Select Debit Note / Credit Note
  • Select the Date and Category for your journals
  • Select the By Affecting Category for your journals for the double-entry accounting
  • Click on Create

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