Hi
I am a new user in access and created a database to use in accounting practice. I want to create a query control that will show the opening balance, plus fees less closing balance = 0 as all data are imported from another system.
The problem is that the closing balance does not contain a full list of clients and when I run the query I only get partial data. I hve tested by first trying to break the query down to more simple test.
I have a complete client list table with 0 balances and then created a query that should add the closing balance and the 0 balance per clientlist table together in order that every client will have an entry either 0 if it IsNull in the closing balance query or the balance as per closing balance query.
Here is the expression I built but it does not work as I do not get any 0 balances returned, I still only get balances for clients on the closing balance query but nothing for clients that is not on the closing balance query. Hope it makes sense. Please help
Expr1: IIf(IsNull([Qry:Sum Imported CLosing Balance]![SumOfValue]),[Tbl: Clientlist Zero Balances]![Balances],[Qry:Sum Imported CLosing Balance]![SumOfValue])