1. Click Queries
  2. Click Manage Queries
  3. Select the category where you would like to store this query
  4. Select New Query under the Tasks menu
  5. Name the query 
  6. Set the Starting Query to Base/All Constituents
  7. Set the Data Return Type to Accounts
  8. Under Criteria Matching select Match Each Criteria
  9. Select Commonly Used Fields from the Browse Fields drop down menu and click on Journal Entry Date
  10. Fill in the date range you'd like to search
  11. Select Commonly Used Fields from the Browse Fields drop down menu and click on Individual Transaction Received
  12. Fill in Greater Than or Equal to .01
  13. Click Save and Preview