1. Select “Journal Entries” under the Accounting tab on the main navigation
2. Select the journal entries posting date
3. Provide a journal entry description
4. Add notes for further detail
5. Record your journal entry by selecting the account numbers and account titles, followed by the debits or credit amounts. Be sure the total debits you post equals your total credits. To add additional rows for more accounts click the “+ Add More Details” button.
6. When your journal entry is complete and balanced, click “Post”.
*NOTE: For more information on debits and credits, see the article “What is a debit and a credit?”
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