ContributionsMost RecentMost LikesSolutionsRe: Essentials GL reporting Hi, Totally agree with your point. Such a ridiculous reporign system. Even when I export tarnsactions to MYOB AO it still gives rule name in decription rather than actual transaction name. I rang Essentials about this before finding your post. They say essentials is a basic software & it does what it suppose to do. "Replace actual description with rule name". Such a weired explanation of unprofessional software development. Rules separate for Debit & Credit transactions While creating rules it never asks which type of transaction needs to be auto coded. For e.g. if I create rule with description "abc company", it codes all debit & credit entries with description "abc company" as per rule set. Where as in most of the cases even with same description debit & credit entries have different codes.