Setting Up Data Files & Customizing Settings
Creating a New Company
Using the Setup Wizard
Setting Up the General Ledger
Entering Opening Balances
Setting Up Linked Accounts
Entering Vendors and Purchases History
Entering Customers and Sales History
Entering Inventory and Services History
Entering Employees and Payroll History
Finish Entering Historical Data
Customizing Simply Accounting
Setting Up Sales Taxes
Banking & Credit Cards
Setting Up the Bank Reconciliation
Setting Up an Account for Reconciliation
Reconciling an Account for the First Time
Reconciling an Account
Importing Online Statements
Downloading and Importing Statements
Working with Credit/Debit Cards Transactions
Entering Customer Sales on Credit Card
Reconciling the Credit Card Account
Creating & Setting Up Credit Cards for Purchases
Enter Vendor Purchases on Credit Card
Reconciling the Credit Card Statement
Security, Budgets & Projects, Inventory Adjustments
Adding Passwords and Security
Accessing the System Administrator
Adding A User
Changing or Deleting a User’s Password
Deleting a User
Removing Security Options from the Data File
Budgeting
Activating the Budget Option
Creating A Budget
Reporting Against the Budget
Updating the Budget
Handling Project / Department Accounting
Setting Up Projects / Departments
Allocating Expenses and Revenues
Reporting on Project / Department Performance and
Budgets
Managing Inventory
Performing Inventory Counts
Writing Off Inventory
Looking at Item Assembly
Payroll (Additional Features)
Checking the Tax Tables
Introducing New Types of Income
Introducing New Types of Deductions
Employee Benefits
Setting Up Batch Printing of Paycheques
Allocating Payroll Cheques to a Project/Department
Generating a Payroll Run
Remitting Payroll Deductions/Contributions
Releasing Vacation Pay
Employee Departures