Question about the trial report
Didier Vidal
didier-devel at 9online.fr
Wed Mar 1 14:17:52 EST 2006
Nobody knows ?
Didier.
Didier Vidal wrote:
> Hello,
>
> I have a problem for translating the 'merchandising' options of the
> trial balance report.
> This option panel enables to select accounts for 'gross adjusting',
> but I haven't been able to find a definition of 'gross adjusting' (and
> how it differs from regular adjusting), neither to see the impact of
> selecting accounts in this option.
>
> From the comments, it seems to be related to inventory accounts, but
> that doesn't help me much for the translation. From the comment, It
> also seems that adjustments on these accounts should not be displayed
> (or should be treated differently). But that's not what I observe.
>
> Could someone point me to relevant documentation, or explain me the
> notion of 'gross adjustment' account ?
>
> Regards,
>
> Didier Vidal.
> _______________________________________________
> gnucash-devel mailing list
> gnucash-devel at gnucash.org
> https://lists.gnucash.org/mailman/listinfo/gnucash-devel
>
More information about the gnucash-devel
mailing list