Adjusted trial balance lists the general ledger account balances after any adjustments have been made. These adjustments typically include those for prepaid and accrued expenses, as well as non-cash expenses like depreciation, etc.
Go to view Adjusted Trial Balance Report in the Localizebook:
- Go to the Report menu.
- Click on Company & Finance > Accountant.
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- Click on the icon
- Report Type: Choose Adjusted Trial Balance.
- Select your Date that you want to view.
- Customize: To customize your report with more of what you want to show.
- Click on the View button to view your report.
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- This below is a template of the Adjusted Trial Balance Report.
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