PracticeSuite: Month End Close Process

Video
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billing
practicesuite
  • Description

    This video is about the month-end close process which involves two key steps: Financial Year Open and Close: Officially closing the current financial period and opening the new one, ensuring that all transactions for the month are accounted for. Running the Reconciliation Report: Generating and reviewing reconciliation reports to verify that all accounts are balanced and that there are no discrepancies.