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Hello.
I don’t know if there is a setting that I need to change, or if this is something that still needs to be implemented, but I have multiple Bank Accounts, and two different cash tins. Currently on my exports both cash tins’ transactions are lumped under “one journal” as well as the bank transactions. Could this be implemented in future, or is there a setting I need to change?
please help
Thanks !
I didn't find the right solution from the internet.
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