1. Select Query, new Transactions Query.
  2. On the Criteria tab, expand Transaction and select Post date.
  3. Change operator to between and enter the correct values.  Then click OK.
  4. On the output tab, expand Transaction and select Transaction amount .
  5. Expand Asset and select useful life and other desired fields.
  6. Expand Transaction Account Distribution, and select the appropriate distribution field.
  7. Select Run.