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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 Preparing 1099 and 1096 forms
Managing user accounts and company files Importing and exporting data Networking company files Index

International transactions > Miscellaneous transactions
Transferring funds to a foreign account
Entering foreign-currency transactions in a local account
Reconciling accounts containing foreign transactions

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