Record Journal Entry window
Window Overview | To use this window | Fields in this window | To find this windowCreating General Journal entries (Overview)
Identify the purpose for the transaction (Step 1 of the Creating General Journal entries procedure)
Enter the debits and credits for the transaction (Step 2 of the Creating General Journal entries procedure)
Choose what you want to do with the transaction (Step 3 of Creating General Journal entries procedure)
To create a recurring General Journal template
To record a recurring General Journal entry
To reverse a General Journal entry
To find a General Journal entry
To find a recurring General Journal template
To display a list of recurring General Journal templates (and record them, if you wish)
To change a General Journal entry
To change a recurring General Journal template's name and/or frequency
To change a recurring General Journal template's line items and additional information
To remove a General Journal entry
To remove a recurring General Journal template
To record unrealized gains and losses
To enter a withdrawal using the Record Journal Entry window
To reconcile an account for the first time using AccountEdge
To transfer funds using the Record Journal Entry window
To use the Record Journal Entry window