Accounting in Biznsbook: An Overview
What the Accounting and Finance Management modules do, and how they fit together.
What the Accounting and Finance Management modules do, and how they fit together.
What each Accounting and Finance Management permission unlocks, and fixes for common issues.
How to bring in starting account balances from your previous system when you go live on Biznsbook.
What Finance Management adds on top of Accounting, where to find it, and which Accounting how-tos to follow.
How to upload a PDF or scanned bank statement and have Biznsbook read it automatically, with Finance Management.
How approved expenses, reimbursements, and advances post to the general ledger in Biznsbook.
How accounts receivable and accounts payable work in Biznsbook.
How to preview and post verified labour cost to Accounting, and generate casual overtime expense claims in Biznsbook.
How to match your bank statement against your books in Biznsbook, with Finance Management.
How to make manual accounting adjustments with a journal voucher in Biznsbook.
How to record cash and cheque receipts and payments in Biznsbook.
The core financial statements available in Biznsbook and what each one tells you.
How to define your fiscal year and close accounting periods once month-end work is done, with Finance Management.
How the chart of accounts works in Biznsbook and how to set one up.
How to set up asset categories and register fixed assets in Biznsbook, with Finance Management.
How to add a check-and-approve step before payment and journal vouchers post to the ledger.