-
Accessing Financial Reports
-
Adjusting GST or HST Payable
-
Creating Journal Entries
-
Processing End of Month in Legal Accounting
-
Reconciling Accounts Payable (AP)
-
Reconciling Controlled General Ledger (GL) Accounts
-
Reconciling GST/HST in Legal Accounting
-
Reconciling the Accounts Receivables (AR)
-
Reconciling the Client Disbursements WIP
-
Reconciling the Operating Bank Account