Are there intra-city transactions? If not, the simple solution is to
have one set of books per store. However, that does make it hard to
roll up to a grand total for the entire business.
The next approach would be to have a high-level account for each
location within ASSETS, LIABILITIES, EQUITY, INCOME, and EXPENSES. That
way you could generate a report for each location and then another one
for all locations.
On 12/7/24 12:45, Gary Kulp wrote:
Hello,
I'd be appreciative if someone could illustrate how to account for income and
expenses from multiple business locations. For example, if I were to account
for five hair salons in five cities, I would need to account for the following
in each city using GNU Cash.
Income
Haircuts
Hair Coloring
Product Sales
Expenses
Rent
Utilities
Cost of Goods Sold
Shampoo
Scissor Sharpening
Hair Coloring Product
Sub-contractor Wages
Locations:
Dallas
Los Angeles
New York
San Francisco
Seattle
Thanks...Gary
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