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Home > Product & Jobs > How to allocate product groups into specific accounts within your accounting package
How to allocate product groups into specific accounts within your accounting package
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This great feature allows you to set-up a product group and set a specific general ledger account for that group.

 

This way you can choose which GL account a product goes into when sold. 

 

Please note: Changes here will override the setting you have created in the Account Integration Settings page.

 

 

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