Adjusting entries made into the sub ledger? Is this such a thing? how does one make those entries?
Hey Ashley! :)
If you get adjusting entries from your accountant at the end of the year (typically just a list of accounts debit or credit adjustments noted) then the easiest place to make those entries is through your General Journal entry screen. Click on your Transactions menu and choose General Journal.
I think you'll find this page from our knowledge base useful...