Once you have finished reviewing and assigning treatments to all of the transactions in your inbox, head to the relevant schedule to review the releases for the period and to make sure you're happy with how everything looks:
If you want to make any changes, you can either edit a transaction from directly inside the schedule using the edit icon:
or you can head to the History page, find the relevant transaction and click into it using the reference, and then edit the details from there:
Once you're happy everything is correct, you're ready to post the journal!
Continue to Step 4: Post the journal