1. Create the required setup. 2. Create multiple invoices and purchase transactions across different months. 3. Create additional transactions in a new month and save them. 4. Open the Trial Balance for the newly created month. 5. Click View, Print, and Text File options. Actual Result: The View option displays the complete Trial Balance data. The Print and Text File outputs display only the selected month's details Expected Result: The Print and Text File outputs should display the same Trial Balance data as shown in the View option, including all relevant balances and transactions reflected in the Trial Balance. Screen rec: https://drive.google.com/file/d/19PcJE9lsc6yYLVxC29xbauP0pNaSEYro/view?usp=sharing screenshot: https://drive.google.com/file/d/1si4QRbCrb6JUFuof5uX3qBvqLWAR75L6/view?usp=sharing
Fixed And Available For next Build