This release note has been updated by @brucanna to reflect the change in process that was introduced after the original release. This updating includes the deleting of posts not relevant to the changed process.
Cash Accounts
All cash accounts (Petty Cash, Cheque (check), Savings, Transactions, Credit Card, Overdrafts ) are created as sub-accounts under the Cash Accounts tab and their balances are grouped together on the Balance Sheet under a single control account called Cash & cash equivalents
.
This release allows those cash accounts to be given their own control accounts so they can be shown as:
A) Liabilities where they normally have negative balances - credit cards
B) Individually where the user doesnât want to see the cash accounts grouped
A) If some of your cash accounts represent negative cash such as overdrafts or credit cards, then itâs a good idea to create a new control account which allows you to categorize them under Liabilities
rather then the default Assets
location. To do this for a âcredit cardâ follow this 2 step process
Step1 - Create new control account
Click the Settings
tab, click Chart of Accounts
and next to Balance Sheet click the âNew Accountâ button.
Enter the required account Name, for the Group field select âLiabilitiesâ, tick the Control Account box and select âMade up of - Cash Accountsâ and then click âCreateâ
Step 2 - Assign cash account to the control account
Go to the âCash Accountsâ tab, click Edit next to the âcredit cardâ account and under the âControl Accountâ field select âCredit Cardâ.
Now this account will be displayed under Liabilities on the Balance Sheet.
B) If you have different types of positive bank accounts - cheque (check), savings, transactions - and you wanted to display them individually on the Balance Sheet then you would follow these three steps:
Step 1 - Rename the existing control account.
Click on the Settings
tab, click Chart of Accounts
and then click Edit next to the Cash & cash equivalents
account. Enter a name to suit your main active account and then click Update
Note : All cash accounts will remain grouped under this control account name until you have created and assigned them to a new control account - as per step 2 & 3.
Step 2 - Create new control accounts.
While you are still at Settings - Chart of Accounts, click âNew Accountâ button on the Balance Sheet side. Enter the required account Name, for the Group field select âAssetsâ, tick the Control Account box and select âMade up of - Cash Accountsâ and then click âCreateâ
Step 3 - Assign cash account to the control account
Go to the âCash Accountsâ tab, click Edit next to the âSavingsâ account and under the âControl Accountâ field select âSavings Accountsâ.
Now thiese account will be displayed individually under Assets on the Balance Sheet.
Cash accounts can be assigned as a group or individually to a control account - if you three credit cards - these can be grouped within one control account or they can be individually shown on the Balance Sheet by having their own control account.
If you have several cash account control accounts, then these can be grouped under a Balance Sheet heading