This screen can be launched from “General Ledger” screen (“Accounting” menu).

On OK button, all the entries of the selected original GLAccount are copied.

If a date is specified, the new entries will have this date, otherwise the original date is kept.

(If a transfer account is specified in the options, reversal entries are created (using transfer account) and new entries are created (using destination GLAccount)
If no transfer account is specified in the options, new entries are directly created, using destination GLAccount.)