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Sending Trial Balance to Excel

Go to: General Ledger module > Reports menu > Financial Reports > enter date range > Trial Balance > Send to Excel.

Previously, when sending the Trial Balance report to Excel, VisionVPM displayed different account balances compared to when sent the report to the printer.

This only occurred when you had clicked Yes to the following prompt:

Now, VisionVPM correctly displays the account balances.

See Also

General Ledger Module - resolved in version 344

Trial Balance sorting incorrectly when sent to Excel

Syndicate Holding Account