Chapter 1: INTRASTAT
Lesson 1: Defining Intrastat
Lesson 2: Intrastat Reporting
Chapter 2: TOOL FOR CHANGING THE VAT RATE
Lesson 1: Prepare to configure for VAT rate changing tools
Lesson 2: Setting up and using the tool for changing VAT rates
Lesson 3: VAT rate change conversions
Chapter 3: MULTI-CURRENCY
Lesson 1: Currency file and exchange rates
Lesson 2: Defining Multiple Currencies for Buyers, Vendors and Bank Accounts
Lesson 3: Processing Sales and Purchasing Documents
Lesson 4: Processing cash deposits
Lesson 5: Payment processing
Lesson 6: Batch Exercise Adjust the exchange rate for buyers, vendors, and bank accounts
Lesson 7: Define the issuing of reporting currencies
Lesson 8: Use the reporting currency
Lesson 9: Batch Exercise Adjust the exchange rate to the G / L accounts
Lesson 10: Displaying a Swap Adjustment
Lesson 11: Summary of the currency exchange
Chapter 4: BUDGETS
Lesson 1: Principal’s Accounting Budgets
Lesson 2: The Budget Page
Lesson 3: Create Budgets Manually
Lesson 4: Copying a Budget
Lesson 5: Exporting and Importing Budgets
Chapter 5: COST ACCOUNT
Lesson 1: Treasury flow in cost accounting
Lesson 2: Defining Cost Accounting
Lesson 3: Cost Records
Lesson 4: Cost Budget
Lesson 5: Cost Allocation
Lesson 6: History of cost accounting
Lesson 7: Cost accounting reporting
Lesson 8: Tips and afforestation
Chapter 6: CASH FLOW FORECAST
Lesson 1: Functions of cash flow forecast
Lesson 2: Defining Cash Flow Forecasts
Lesson 3: Duplicating Cash Flow Forecasts
Lesson 4: Porting a cash flow forecast
Chapter 7: REPORTING AND FINANCIAL ANALYSIS
Lesson 1: Analyzing the chart of accounts
Lesson 2: Accounts Sheets
Lesson 3: Multivariate Analysis
Lesson 4: Analytical Exporting to Microsoft Excel
Lesson 5: Customized Reports
Lesson 6: Analytical linking to sheets of accounts
Lesson 7: Graphing the Results
Chapter 8: XBRL
Lesson 1: XBRL Terminology
Lesson 2: XBRL Specifications and Taxonomies
Lesson 3: Working with Link Databases
Lesson 4: Entering XBRL Group Elements
Lesson 5: Export XBRL Rows