I recently became the Treasurer of a VFW Post and am trying to find an inexpensive way to keep books that have been done by stubby pencil for years. I have read some of the posts on how to do this but am still a bit unclear. I have never worked with code before. I have a general ledger worksheet that has 7 individual accounts, each with a debit and credit column. I also have a Date, Transaction, Reason and Ref # columns that precede the accounts. When I enter this information and then enter either a debit or credit amount in the appropriate account, I would like that entry copied to the appropriate account spreadsheet. Showing this to someone seems to me to be the easier way.