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Welcome New Features Introduction Setting up your company file Advanced setup Banking Sales Purchases Paying your employees
Payroll setup tasks Creating payroll categories Creating employee cards Entering employee payroll information Timesheets Processing your payroll Payroll liabilities Processing termination payments Reviewing payroll information Preparing and filing payroll tax forms
Data that will print in this field Required/Optional (P14 field title) Billing for time Stock International transactions Reporting VAT Lists Transactions Reports Forms Contact management Financial control End-of-period procedures
Month-end procedures Starting a new financial year Starting a new payroll year
Managing user accounts and company files Importing and exporting data Networking company files

Banking
This section shows you how to record the cheques you have written, the cheques and credit card payments you have received, your credit card transactions and your cash machine and Internet banking withdrawals and transfers.
You can record the details of any number of bank and credit card accounts. If you are familiar with a manual multi-column cashbook system, you can think of your software as having the capacity to run many cashbooks with an infinite number of columns.

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