#1, 2, are available in GnuCash and easy enough to produce.

#3 would be done as an ‘Account Report’ while viewing the General Journal. 
Recall though that you’ll have to adjust the View > Filter By to show the 
desired dates before running the report.

#4 can be accomplished as I previously noted with a Transaction Report. But as 
Michael pointed out, because the way GnuCash works, there won’t be any 
difference (other than maybe form) as to what #3 and #4 contain. As the Journal 
and Ledger are not separate things (you don’t make an entry and then transfer 
info) there won’t be any difference in the transaction info for each. You might 
have to produce each just to make the auditors happy till they learn one is 
pointless with GnuCash.

While #5 exists in GnuCash, it does not match any textbook example I’ve seen of 
such a report. If you can provide an obfuscated previous example we can advise 
if the built-in report will suffice or if you’d have to use some other report, 
or need something entirely custom.

#6 is available in GnuCash.

Also, note that GnuCash can export your data in CSV, and it is stored by 
default in XML, both of which are open formats (non-proprietary) and can 
possibly be imported by whatever software they use. (the XML is compressed by 
default, but you can set a preference to store it uncompressed, or just unzip 
it before sending) That might be an option. But the reports are certainly 
doable.

Regards,
Adrien

> On Mar 18, 2020 w12d78, at 12:59 AM, Adrian Yong 
> <adrianyong.88p...@gmail.com> wrote:
> 
> Thank you very much for your assistance.
> 
> I submit the following to the auditors:
> 
> 1) P&L
> 2) Balance Sheet
> 3) Journal
> 4) General Ledger
> 5) Funds(Cash) Flow Statement
> 6) Trial Balance
> 
> That's because they don't use QuickBooks...
> 
> Regards,
> Adrian


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