[GNC] Adjusted Trial Balance

Ron Gill ronxgill at gmail.com
Tue Jul 21 10:05:31 EDT 2020


Trying to figure out what the best practice is for Adjustment Entries and
Adjusted Trial Balance is in GnuCash.

My main requirement is to be able to easily produce a (Non-Adjusted) Trial
Balance and a Adjusted Trial Balance report.

I was thinking of creating a temporary Adjustment Account to hold changes
and I could restore/delete this account to generate the above report.

Seeking help on best practice for this.


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