Make Audit Adjustment or Year Starting Entries


  • Click the General Journal Tab.
  • Enter the date as January 01.
  • Place a checkmark in the Year Starting Entry or Audit Adj. box.
  • Enter a reference number, if applicable.
  • Enter the account numbers, descriptions, and amounts of the entry.
  • Click the Post button at the bottom of the screen.

View the audit adjustments by running a Year Starting (Post Closing) Trial Balance Report.


Additional Guides: