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DevPilot authored
The trial balance showed a number with no way to ask where it came from. Every account row is now a link into that account's ledger, carrying the same date range and the same cost-centre/branch filters — so the movements you land on are exactly the ones that produced the figure you clicked. The ledger itself now reads newest first. The running balance is still accumulated in date order, because "the balance after this entry" only means anything with the earlier entries already in; the list is reversed after that accumulation, so the order flips and every balance still says what it says. The opening-balance row moved to the bottom accordingly — it is the oldest line on a newest-first list. Each entry number links to the full journal entry, so a line in one account opens the whole قيد with its other side. The reference type is shown under the reference number, which is usually what tells you which operation raised it. Verified against 779 movements on the cash account: order is newest first, the running balance on the top row equals the closing balance, and both screens render with 165 clickable rows and 779 entry links. Co-Authored-By:Claude Opus 5 <noreply@anthropic.com>
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