Store Accounts

Hi, I have setup store accounts for every store I have. I have noticed that as store 1 sells an item to store 2 on account, my z-report sees this "sale" as an actual sale and allocates the amount entered in the store account tender type to sales. I want it allocated to Report.PaidToAccount (See variables for reports). I have built a z-report to show only actual amounts. This is much more accurate for me to balance the till.

How do I get a tendered amount (On Account showing in my list of tender types) to be allocated to this report variable - Report.PaidToAccount rather than Report.Sales (which it is not)?

Regards

Dan

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dan
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