Check Detail Report - Displaying Detail Entered as a Negative on the Bill Entry Screen
When entering a bill, often numerous accounts are impacted. Sometime in order to alleviate an extra step of a subsequent journal entry for re-class purposes, I will enter in an amount as a negative with an offsetting positive. This type of transaction has zero impact on the total bill amount, but moves all the amounts into the proper buckets for me. However, when I go to print out my Check Detail report after payment is made, the accounts with the negative amounts are omitted from the report, so the check amount total and the total amount of the details displayed do not match. How can I get all lines to display?