We are using sub-clients as projects and I was wondering how I would go about reclassing transactions from one project to another?
For context, we have one client that has a 'bucket' of money to spend with us each year, and we bill them in monthly installments. So, I have sub-client A set up for billing purposes only. However, this bucket of money is being allocated to projects throughout the year, lets call one sub client B. As these projects are determined and completed, I want to be able to reclass the revenue that was recorded at the time of billing sub client A to the actual project, sub client B.
I know i can use a journal entry, and in the name field i can record the sub-client name...however, on sales reports, this won't be factored in and all of the sales will still reflect as sub client A and not sub client B.
Any ideas on how to accomplish what I am trying to do?