Responsible Andrew Hastings
Last Update 02/02/2024
Completion Time 1 hour 49 minutes
Members 13
  • Accounting Overview
    • Accounting In Stride Introduction
  • Import Accounting Controls in Stride
    • Intro to Section
    • Bank Transaction Flows
    • Payment Flows in Stride
    • Internal Transfers
    • Invoice and Vendor Bills
    • Inventory Clearing Accounts
    • Section Wrapup
  • Daily Operations
    • Marking Invoices/Bills as Paid
    • Batch Deposits
  • Reconciliation Process
    • Bank Data Verification
    • Matching to Existing Records
    • Manual Reconciliation Entries
    • Merchant Service Reconciliation
  • Advanced Reconciliation Techniques
    • Monthly Reconciliation Audit
    • Manual Journal Adjustments