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My client is a non-profit health facility with three locations (treated as three programs). They receive donations to support their operations. Most donations are directed to one of the locations but a few are intended for the overall organization. The donations are further subdivided between unrestricted and those restricted for various purposes--patient care, education, building projects, equipment purchases, etc. How should they set up Accounts, Items, and Classes to provide the data needed for the various net asset balances at audit?
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In the meantime, you can watch the archived webinars here to see if you can find the answer to your question.
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