So today's tip is short and sweet. If you make a journal entry or fix an account and things still seem out of balance or a report isn't producing the right results, choose the Tools Tab and click on the Recalculate Month Totals button, then exit the chart of accounts and go back in. If the correction fixed your problem, you should be in balance and you should find the correct numbers in the impacted accounts.
We've made an improvement! Tuesday Tips are now archived on our website under Customer Suppport and we've renamed the emails so you can see what each email is about with just a quick glance!
This message was sent to email@example.com by firstname.lastname@example.org
10065N Raven Road, Hayward, WI, 54843