• Hierarchal Levels

    I am intending to acquire BusinessWorks as our accounting software. How many COA hierarchal levels can it accommodate? I think I need 5 or 6.
  • How to edit the G/L that is not posted

    Hi all I am new to learn this program i accidentally closed the G/L window that i was working. Can you pls advise how can i go back to edit this un-posted G/L? Thank you
  • how to post a corrective Prior Year Journal Entry clarification

    In 2016 we made a payroll check with a deduction of $21.33 for a loan repayment. But we neglected to make a journal entry to debit the account and because it is in a prior year we are unable to make any new entries. I viewed knowledge base article #18022…
  • Inventory Control Build

    I am having an issue with building parts in BW2018. When I build a part, component parts that are being used and are being taken out of inventory. There are some parts however that their costs do not hit the general ledger. That is, if I run a journal…
  • How can the name of an existing product line be changed?

    How can the name of an existing product line be changed?
  • Setting up a consolidation account

    When setting up a consolidation account, doe sit have to be new account, or can it be an existing posting account (with a .000 extension).
  • Add beginning cash balance to GL

    We purchased another company in October, and I am working on integrating all their accounting into BusWorks effective Jan. 1. How can I add the book beginning balance to the GL account for the acquired company's bank account? I see the way to enter…
  • Account Detail Report shows 1 future transaction that is actually current.

    For some reason on one of our G/L account numbers we have a transaction that is marked with an asterisk on the account detail report that shows up as future transaction. That particular transaction was entered for the month of December on 12/01/14. It…
  • G/L Flash Report not showing cash balance from new cash account

    We recently changed banks and so we reset the defaults to the new account which now appears as account #1 in CM/Maintain cash accounts. The problem is that the G/L Flash report is still showing the $0.00 balance apparently from the account we no longer…