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End Of Period Procedures
The following steps should be followed at the end
of each period (month). Step 1 of these procedures assumes that
your chart of accounts contains opening and closing stock accounts.
Steps 1 to 6 are processed through CAPITAL Office.
Step 1 - Print The Stock Quantities
Report
Step 2 - Cashbook Direct Entries
Step 3 -
Reconcile The Bank
Step 4 - Running A Bank Statement
Report
Step 5 - Unpresented Cheques Lists
Step
6 - Printing Other Reports
Step
7 - Run The General Ledger
Step 8 -
The Stock Journal
Step 9 - Print The Trial Balance
Step 10 -
Compare Reports
Step 11 - Print Financial Statement
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