What is a Trail Balance?
A trial balance is a bookkeeping or accounting report that lists the balances in each of an organization’s general ledger accounts. (Often the accounts with zero balances will not be listed.) The debit balance amounts are listed in a column with the heading “Debit balances” and the credit balance amounts are listed in another column with the heading “Credit balances.” The total of each of these two columns should be identical.
Here you are going to learn about the steps to generate Trial Balance Month Wisereport.Step 1: Login with Fresa Gold, Open Accounts module and select Trail Balance Reports option. (Fig-1)
Fig.1Step 2: Select Trail balance Month wise report option. (Fig-2)
Fig.2Step 3: Enter the date range and click submit. (Fig-3)
Fig.3Step 4: Trial Balance Month Wise report will be displayed on the screen. (Fig-4)
Fig.4Step 5: If you want to download click the option menu and select the download (Fig -5)
I hope you got an idea about how to generate Trial Balance Month Wise report.
For further clarification, send your queries to Support@fresatechnologies.com because our motto is to help customers.www.fresatechnologies.com – Your one-stop solution for freight software needs. Follow us on Linkedin, Twitter.