I wrote a cheque that didn’t clear by year end. How do I record it on the transaction screen to be a account payable and then when the cheque clears accept it in agexpert?
I would like to update the balance of my investment accounts. They are set up at asset accounts. When I do the posting to increase the value of each what is the offsetting account to use?
I would like to make custom work expense be a heading, with subcategories, but I've already entered some things as custom work expense. Is it too late to fix?