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Job actual vs estimate and journal entries

is there a best practice suggestion for how to have adjustments reflect in job est vs actual reports.  Adjustments by journal entry are not reflected in roports.

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Re: Job actual vs estimate and journal entries

Estimate require items.  Journal entries do not allow you use item.  You need to write a check and use the items tab indicating the customer:job.  Toggle to the expense tab and enter the same amount to the expense account the item is pointed to.  Depending on your adjustment, one should be a positive and the other a negative so the check amount is zero.