Dear Fellows,
Currently, I am stuck with a report to develop a ledger balance sheet report. I have an opening balance for quantity and amount. There are some receiving and issuance transactions made on the opening balance quantity and amount. I am supposed to calculate the running balance at the end of each issuance/receiving transactions. This is more like a bank account statement for a particular month in which we have an opening balance and we make some debit and credit transactions and we are supposed to keep track of the current balance after credit/debit transactions.
My data looks like below,

**I am supposed to develop a ledger/balance sheet report as illustrated below;
**
