How to run separate cashbook report using multiple bank accounts
Hello @Numo_Joseph,
Welcome to the forum.
Well, that depends on what you mean by “cashbook”.
Please explain what you mean, or better yet, share a screenshot of the report format you need.
I have three separate bank accounts and want to get a report that contains debit, credit, and balance for each account. I currently use “General Ledger Transactions -Cash and Cash Equivalent. not able to see the individuals banks. for the report. instead i see cash and cash equivalent only. which includes all the reports for the three bank accounts.
Maybe this is what you are looking for:
It has worked. Thanks so much