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    • Session 2: QUOTES AND INVOICES
    • Session 3: EXPENSES – ENTERING BILLS
    • Session 4: BANK RECONCILIATION, CASH CODING
    • Session 5 : HOW TO RECORD ASSETS – ADD A LEASE TO THE ASSET – DISPOSE AN ASSET – ASSET REGISTER AND INVENTORY IN XERO
    • Session 6: BAS REPORTS-CASH ACCOUNTING VS ACCRUAL ACCOUNTING
    • Session 7: GST RECONCILATION
    • Session 8: REPORTS – P&L AND BLANCE SHEET, TRIAL BALANCE
    • Session 8: PAYROLL-AT A GLANCE