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Multi-Location for Trial Balance
Hi all,
Does any of you out there runs seperate accounting for different locations? We have several different locations under the same belt. While it's easy to figure out the inventory for multi-location in the system, it's kinda of consufing for accounting. Like for Trail Balance, we couldn't get it to filter by location when there're check-writing transactions in there. Even though each checking accounting is restricted to one location only.
Any help would be apprecaited.
Thanks
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