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Reconciling beginning balances for vendors 1099 paid

  1. From the Company menu, click Beginning Balances > Vendor 1099 Paid.
  1. Multi-company only. Select a company.
  1. Click (Reports), and click Beginning Balance Vendor 1099 Paid.
  2. Verify that the report total equals the total on your input sheet for vendors paid with a 1099 form.

See also

Using the reports toolbar

Entering beginning balances for vendors 1099 paid

Changing beginning balances for vendors 1099 paid

 

 

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