Changing Account associated with Inventory item and their prior transactions
We use QB Enterprise. We have most features turned on including Multi-currency, Advanced pricing and Advanced Inventory (we use FIFO). We maintain a few Inventory accounts in our trial balance based on the Category of our Items. Our list of inventory items include Assemblies made up of two or more of the other items. Recently, I discovered that some of the items used in Assemblies were associated with incorrect Asset accounts. We began editing the items to change these wrong Asset accounts and selected the option to change prior transactions. The prior transactions for item receipts, invoices and sales receipts were successfully changed to the new Asset account. However, with the transactions for "Build Assemblies", the items used in the assemblies remained deducted from (credited) the old Asset accounts causing the old asset account to have a large negative (credit) balance.
I was hoping to get the values in the trial balance Inventory accounts adjusted without using Journals. Has anyone had this problem and if so how did you get the prior "Build Assembly" transaction to be deducted from the new Asset account?
