Adjustments

Manual Journal Adjustment
Create a manual debit or credit entry for a customer or vendor on a specific date.

This is the other side of the journal entry. Example: `Owner's Equity` for capital injection, `Drawings` for withdrawal.

Customer Credit Transfer
Move a credit or debit balance from one customer to another. This creates a journal entry.
Record Capital Injection
Record a cash injection into the business from an owner or other capital source.