kimpieper
Level 1
04-09-2022
12:59 PM
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I have a K-3 for a K-1 partner, and for the life of me I cannot figure out how to enter the information from the K-3 into the program. I go to the Schedule K-1 worksheet for foreign transactions but none of the lines line up with the K-3 given to me by my client.
Any ideas?
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