Bank Journal Entries - create the ability to post multiple deposits to a single bank journal entry. Example - a store makes 2 deposits daily. Posting a daily sales and receipts transaction would consist of 2 separate cash entries against only one sales offset (total of the day's sales), one sales tax total (same), etc. Currently, "offset" accounts to the cash entries would have to be arbitrarily split. In a large org, impractical to do this.

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