Enter partners' capital for Schedule L

Use the following fields in the L screen in the Balance Sheet folder if the beginning or ending capital accounts reported on Schedule L differ from amounts reported on Schedule M-2.
  • Partners' capital accounts (Force):
    Enter the amounts to be reported on Schedule L.
  • Partners' capital account reconciliation:
    Enter information in the Statement window to reconcile the differences between the capital balances reported on Schedules L and M-2.
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