My other post titled “How to improve general ledger transaction presentation?” was merged into this post, but I don’t think they address the same issue.
This post is on the reference field; the other post is asking for best practices on how to live with the current general ledger transaction report when you have a convoluted description (the convoluted description is partially a result of the prepending of references, but mainly a result of how banks use descriptions to send all kinds of garbage).