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How do I add or change Nominal Opening Balances?

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Click ‘Books’.

Click ‘Journal Adjustments’.

Click ‘Nominal Journals’.

Click ‘O/Balances’.

Highlight the relevant nominal account whose balance you want to add or change.

Click ‘Change’.

Enter it as a debit or credit as appropriate.

Click ‘Save’.

Do the same for any other balances you want to add or change.

Ensure to also click ‘Save’ on the ‘Opening Balances’ dialog box.

 

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