How do I create this report?
Go to the Reports menu, choose Accountant & Taxes, and then click Adjusted Trial Balance.
This report displays the
adjusted trial balance for each
account (in debit and credit format) as of a specific date.
This report displays the unadjusted balances, adjustments, and adjusted
balances as of the last calendar day for the specified date range. Any
adjustments entered before the last calendar day are calculated as part of the
Initially this report covers the last month, but you can change the coverage
by choosing a different date range from the Dates list.
What do the different
date ranges mean?
Getting the most out of a
Memorizing a report
Making adjusting entries in a
Adjusting journal entries
Trial Balance window