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How to fix your bank difference each and every time!

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  • čas přidán 6. 02. 2023
  • Does your QuickBooks bank not balance?
    This video is a guide of what went wrong and how to fix it!
    Thanks for watching, don't forget to leave a like and Subscribe!
    Get in touch with me, check out my other socials or find additional resources here:
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    Head over to the Boffix store for discounted licenses & training here:
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    As an official Intuit QuickBooks Certified Trainer, I want to share my knowledge & give you an insight into of the world of QuickBooks Online!
    I am also a Chartered Accountant, and owner of the Accountancy practise, Boffix.
    Over there we support creators and business owners with a range of services to help you succeed, save & grow!
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Komentáře • 16

  • @soniamora2170
    @soniamora2170 Před dnem

    The most valuable video I ever found! Thank you so much for this information🎉❤

  • @EstephaniaDesigns
    @EstephaniaDesigns Před 4 měsíci +2

    Hi! THANK YOU so much for this video. Although it was bit hard to understand by just listening, had to turn captions but it helped me match numbers. Felt so accomplished afterwards. God bless you!

  • @fingerlessdrummer
    @fingerlessdrummer Před 6 dny

    I never thought of adding the directors account who do usually spend money for the buisness and I add the receipts and say it comes out of there accounts but don’t have there actual bank accounts in to quick books to make match’s of there receipts with there bank. This is what I’ve gathered from this video as it comes out of the business but it’s come from a directors bank account account. Thank you

  • @DrewKeeper
    @DrewKeeper Před 9 měsíci

    Great

  • @gillkirkpatrick9399
    @gillkirkpatrick9399 Před rokem +1

    Can’t find the videos on the reconciliation screen. Would be great to have one giving help and tips on dealing with issues

  • @normaisabelperezlara7156
    @normaisabelperezlara7156 Před 9 měsíci

    Why doesn't QuickBooks Desktop match my bank account?
    I have a negative amount in QBD vrs Bank

  • @buffalofinances
    @buffalofinances Před 11 měsíci

    Excellent video! Thank you!

  • @scott.whittaker
    @scott.whittaker Před 7 měsíci

    Its almost impossible for eBay sellers to Reconcile and get the figures to match I think. eBay only deposit takings minus fees yet I put sales in as the total amount the item sold for and then we get a bill every month for the fees but it arrives a week into the following month.

    • @TheQuickBooksChap
      @TheQuickBooksChap  Před 6 měsíci

      Thats why you should always use an Ebay control account - have a look at my videos about this

  • @conquillion6654
    @conquillion6654 Před rokem

    Hi. Are there any other reasons why a bank balance may be out? I'm working on a QB that was fresh in April. I have added no transactions manually so everything is from the bank feed, but once all the transactions have been allocated it is £14.80 out. All transactions have the green box & are marked C or R, the opening balance was correct. I have used the reconcile & that says I am £14.80 out too but for the life of me I cant see why lol. Thanks.

    • @TheQuickBooksChap
      @TheQuickBooksChap  Před rokem

      if you can't file after reconciliation - use the post adjustment option

    • @conquillion6654
      @conquillion6654 Před rokem +1

      @@TheQuickBooksChap Thanks for the reply. I was just wondering how it could be out on a fresh Quickbooks. It's an insignificant amount I'm just curious. I guess I will get paper statements & see if the issue is the banks end. Thanks.