Hello,

After doing the excel work around for the import issue, we got our batches entered into ledger we found an issue with the accounts detailed listing report.

At the end of the report the July report had the following lines:
Balance
Acount Net Change
Account ballance
Report Net Change
Report Balance

The Aug. report has the following:
Acount Net Change
Account ballance
Report Net Change
Report Balance

Anyway to get the balance line back?
Thanks.

Jeffrey Marshall
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Jeffrey Marshall