Categorize a ledger account
Categorize a ledger account
Attach the account to a reporting category so statements remain readable.
Owner: bus accounts.
Categorize accounts so profit and loss and balance sheet views remain consistent. Categories are what keep statements readable even when postings are made at account level.
In the current CLI surface, categorization is performed by updating the account’s ledger_category_id in accounts.csv and then running bus accounts validate (or bus validate) to ensure the result is schema-valid and consistent.