This course is designed to provide you with a comprehensive overview of Accounting Seed’s General Ledger functionality including Creating New Journal Entries, setting up Bank Direct Connect, generating Financial Statements, creating Custom Statement Definitions, and Bank/Credit Card Reconciliation. Click on the lesson below for a more detailed description and to explore each training module.
Lesson 3: Financial Statements
In this lesson we will review the robust reporting features in Accounting Seed including how to generate standard Financial Statements and create Custom Financial Statements.
In this training module we will cover how to create several Financial Statements including Profit & Loss, Profit & Loss vs. Budget, Balance Sheet, and Trial Balance.
Custom Financial Statements
In this training module we will explore how to create Custom Financial Statements and review the many advanced features available in Accounting Seed to support the custom reporting needs of your organization.