I have a simple checking ledger solution that I need to run reports on.
But I can’t figure out how to get where I need to be in order to set a variable for the balance amount before I run the report.
So, lets say the report is to start on the 1st of the month.
And I need to get the ending balance from the 29th of the month before the beginning month of the report.
But, there are no ledger entries until the 3rd day of the month on the report. So, when I perform a find for the manual start date of the 1st, I get the message that no records match.
So, what is the best way to the 3rd and then to 29th for the ending balance of the 29th?
Thanks to all for the input.
Hope I am being clear... enough.