Not sure why you’d want to do that. If you’re using separate income accounts to 
track your sales, that should be sufficient. (I also offer IT services and have 
separate revenue accounts for each one)

A/R is just one big pile. It shouldn't need to be separated. GnuCash does track 
however who owes you what and for which invoices. You can see that by running a 
customer report and/or a receivables aging report. I suppose if you really need 
to see that you’re still owed $x for a particular service offered, you can 
either make up a report to do so, or if you are using one of the SQL backends, 
you can query the db for the info from A/R and the invoices. Sounds like a lot 
of work for little actionable information.

Did a CPA counsel to have separate A/R accounts by revenue stream? Some 
software (like for banks) keep separate accounts per customer, but I’ve never 
heard of separate A/R accounts per revenue source. You could pull it off, but 
you’d have to by-pass the business features entirely and make *all* of your 
entries manually.

Regards,
Adrien

> On Apr 3, 2019, at 10:36 AM, Teresa <[email protected]> wrote:
> 
> Are business does not have any products, we're an IT company the sells 
> services
> 
> Under assets and income I have 5 different products, I see when preparing an 
> invoice I can choose the income gl#, how can I assign the AR side to a 
> specific corresponding GL account#?
> 
> -- 
> 
> Teresa Slack

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