This article will demonstrate how to add Itemization details when Manually Adding Accounts into ACE.
- The "Difference" indicates transactions between itemization and assignment.
- Enter each itemization transaction carefully.
- Select "Add" after entering each transaction.
- Incorrect transactions can be easily removed.
- Enter itemization transactions until the balance matches "Itemization Current Balance" and "Assigned Balance."
- Ensure all other required fields are completed before saving the account.
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