Required scope: write:journal
Journal entries are the entries made in a company's ledger accounts as a way of recording financial impact. The line items for each journal entry should balance to 0.
Create Journal Entries endpoint creates a Journal Entry into our Gateway and not on our Ledger. Once the Gateway receives a Journal Entry, you get an OK response. Ledger Journal Entries are created async and can be retrieved through the Get Journal Entries endpoint.
Puzzle journal entries are immutable. This means that when an update is made, 2 additional journal entries get created - one to reverse the original journal entry and another to reflect the updates. Reversal journal entries can be identified by their description field - they will have descriptions matching "Reversal of {{journal entry id}}".
All Puzzle companies have both cash and accrual journal entries; they are distinct populations.
