Not applicable
This widget could not be displayed.

Correct transactions that were entered into an Equity account instead of a Bank account

I'm helping a friend with her books and she has been using her "Equity" account to put in general journal entries for every Deposit and Expense (instead of "writing checks" and "making deposits"). She has made hundreds of entries doing this. Is there a way to GJ a monthly entry changing these entries to her "Bank" account? 

Solved