My church recently purchased Powerchuch v. 9.0, with the intent of having it up and going by January 1. I went throught the initial Accounting setup entering begining balances for all our accounts, and discovered a couple weeks later I forgot to add some of our office equipment under assests. Is there an easy way to add this in without going through the setup process to capture begining balances again? Thanks in advance for any help.
Sure! Just go into Maintain Chart of Accounts (under the Accounting->Fund Accounting menu) and click "Add." The add account assistant will walk you through the rest. When you've done that, you can enter your beginning balances as journal entries that offset the fund balance.