Firstly, if I am going to put opening balances onto kashflow using a journal, I have to put the total amount of customer invoices and supplier invoices outstanding in the suspense account and then enter a sales invoice or purchase receipt for every account taking ages. If journals were able to put entries into customer accounts then this trouble wouldn't be so bad.
Secondly, why can't you have a section where there's customers, reports, dashboard, bank, etc. there should be one for a trial balance or nominal codes showing all account balances?
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