Re: [GNC] Managing Profit Centers, Enterprises, Projects

2020-05-13 Thread Adrien Monteleone
> On May 13, 2020 w20d134, at 5:10 AM, flywire wrote: > >> There is also a Jobs structure which can be used with specific projects > and >> allows invoices/bills to be grouped for a specific job for a single >> customer/vendor. It is discussed in the help manual > > I've reviewed that but I

Re: [GNC] Managing Profit Centers, Enterprises, Projects

2020-05-13 Thread flywire
As always, thanks for your considered advice David. It's a single entity where everything is shared except for specific income and expenses. Separate books are not-on. I'm understanding you are suggesting a separate subaccount for each Enterprise/Project under the existing CoAs (eg

Re: [GNC] Managing Profit Centers, Enterprises, Projects

2020-05-12 Thread David Cousens
If these businesses are operated as separate entities in the legal sense, (i.e. one business activity is not legally liable for the debts of another activity - this depends on the business structures employed), then they should have separate books and hence separate reports. If they are

[GNC] Managing Profit Centers, Enterprises, Projects

2020-05-12 Thread flywire
I don't know the proper accounting term for this, the intent is to use reports to compare finances between the different parts of the entity. I'm asking how people do it. https://wiki.gnucash.org/wiki/GnuCash_Quick_Start_Guide_For_Business_Users uses a simple rental business as an example. Assume