Help Centre
New Features Introduction Setting up your company file Advanced setup Banking Sales Purchases Paying your employees Billing for time Inventory Lists Transactions International transactions Reports Forms Contact management Financial control End-of-period procedures
Month-end procedures Starting a new fiscal year Starting a new payroll year
Managing user accounts and company files Importing and exporting data Networking company files

Reports > Customizing reports > Frequently used reports
Finding a transaction using reports
Data backup reports
Daily reports
Weekly reports
Monthly reports
Quarterly reports
Annual reports
Overview reports for your bank
Overview reports for your accountant
Sales tax reporting and deposits
Payroll tax reporting and deposits
Collecting money: who, how much, and how long
Customer sales: who, what, and how much
Job reports and job profit
Owing money: who, how much and how long
Item sales: what is selling and who is buying
Items: What you have, what is promised, what is on order
Converting data to a spreadsheet
Analyzing cash flow
Analyzing income and expenses
Analyzing sales
Calculating commissions
Counting, valuing, and analyzing your inventory
Report batches

Click to show more information

Top of page