Lynda.Com QuickBooks Pro 2010 Essential Training

Lynda.Com QuickBooks Pro 2010 Essential Training

Lynda.Com QuickBooks Pro 2010 Essential Training | 441 MB


Introduction
Welcome

Editions of QuickBooks

QuickBooks bookkeeping basics

Using the exercise files

Disclaimer

1. Touring QuickBooks

Opening a company file

Using the QuickBooks menus and home page

Touring the Customer, Vendor, and Employee Centers

Navigating between QuickBooks windows

2. Setting Up a Company File

Gathering the information you need

Creating a company file

Converting from another program

3. Setting Up a Chart of Accounts

Naming and numbering accounts

Creating an account

Making an account inactive

4. Setting Up Customers, Jobs, and Vendors

Creating a customer profile

Adding customer information

Creating a job

Making customers inactive

Creating a vendor

5. Setting Up to Sell Services and Products

Why use QuickBooks items?

Creating a service item

Setting up time tracking

Entering time

Tracking mileage

Creating an inventory item

Creating a non-inventory item

Setting up sales tax

Setting up discounts and charges

Creating a group of items

Making items inactive

6. Paying for Expenses

Creating a purchase order

Entering a bill

Recording inventory you receive

Paying bills

Handling a credit from a vendor

Writing a check for expenses

Paying with a credit card

Paying with cash

Paying sales tax

7. Invoicing

Understanding invoices, statements, and sales receipts

Creating an invoice and filling in header fields

Adding items to an invoice

Adding billable time and cost to an invoice

Using subtotals, discounts, and other charges

Creating an estimate

Handling a customer credit

Creating a statement charge

Producing a statement

8. Printing and Emailing Forms

Setting up print options

Aligning forms with printer paper

Printing one or more forms

Emailing a sales form

9. Receiving Payments

Receiving a payment

Assessing finance charges

Creating a sales receipt for a cash sale

Depositing payments

10. Reconciling a Bank Account

Preparing to reconcile a bank account

Reconciling transactions to your bank statement

Correcting discrepancies

11. Running Reports

Using the Report Center to find reports

Running a report

Printing or saving a report

12. Working with Journal Entries

Why use journal entries?

Creating a general journal entry

13. Managing Your Company File

Creating a new user

Backing up your company file

Restoring a company file



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