Difference between revisions of "Category:Month-End"

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A month-end process typically includes creating any monthly payable transactions, closing the month to prevent modification or entry of accounting transactions in the period, running month-end reports, and verifying month-end totals.  
 
A month-end process typically includes creating any monthly payable transactions, closing the month to prevent modification or entry of accounting transactions in the period, running month-end reports, and verifying month-end totals.  
  
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===Frequently Asked Questions (FAQ)===
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*[[Talk:Direct_Bill:_Commission_Statement_Processing#How_do_I_run_a_report_for_total_commission_received_by_company.3F|How do I run a report for total commission received by company?]]
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===Related Pages and Categories ===
 
[[:Category:Payables|Payables]]
 
[[:Category:Payables|Payables]]
  
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[[Bank Reconcile]]
 
[[Bank Reconcile]]
==== Month-End Worksheet ====
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=== Month-End Worksheet ===
 
Optionally, download the [[Media:MonthEndWS.pdf|Month-end Report Worksheet (MonthEndWS.pdf)]] and enter values from the printed [[Report: Automatic Reports|Monthly Automatic Reports]] to verify that the General Ledger is in balance.
 
Optionally, download the [[Media:MonthEndWS.pdf|Month-end Report Worksheet (MonthEndWS.pdf)]] and enter values from the printed [[Report: Automatic Reports|Monthly Automatic Reports]] to verify that the General Ledger is in balance.

Latest revision as of 22:03, 12 November 2015

A month-end process typically includes creating any monthly payable transactions, closing the month to prevent modification or entry of accounting transactions in the period, running month-end reports, and verifying month-end totals.

Frequently Asked Questions (FAQ)

Related Pages and Categories

Payables

Open or Close Month (GL)

Monthly Automatic Reports using Automatic Reports. (Recommended: Balance Sheet, Income and Expense, Trial Balance, and GL Inquiry.)

Bank Reconcile

Month-End Worksheet

Optionally, download the Month-end Report Worksheet (MonthEndWS.pdf) and enter values from the printed Monthly Automatic Reports to verify that the General Ledger is in balance.