Re-assigning Transactions

Another improvement to our accounting software based on feedback from our customers:

When you drill down from a Trial Balance, P&L or Balance Sheet report into the transactions behind it, you have the option to reassign the transactions to a different code.

We’ve just extended this so that as well as selecting the new code to assign the transactions to, you can also select a product/sub-type

See how IRIS KashFlow works with your business and your books