PREFACE...................................................................................................................... 10
CHAPTER 1: INTRODUCTION TO QUICKBOOKS® PRO 2008 AND COMPANY FILES
Manual and Computerized AccountingVersions of QuickBooks® Open QuickBooks® Pro
How to Open a Company
Verify an Open Company
QuickBooks® Pro Desktop Features
Menu Commands
QuickBooks® Home Page
QuickBooks Pro Centers
Keyboard ConventionsIcon Bar
On-Screen Help
Practice Using Help Search to Find Keyboard Shortcuts
QuickBooks® Pro Forms
QuickBooks® Pro Lists
QuickBooks® Pro Registers
QuickBooks® Pro Reports
QuickZoomHow to Close a Company Copy a Company File from a CD Download Company Files
Shape Up Center–Company Description
Open a Company–Shape Up Center
Verifying an Open Company
Close the QuickBooks Learning Center
Add Your Name to the Company Name
Change the Name of Existing Accounts in the Chart of Accounts
Delete an Existing Account from the Chart of Accounts
Make an Account Inactive
Print the Chart of Accounts
How to Create a QuickBooks® Pro Backup File
Change an Account Name Prior to Restoring a Backup File
How to Restore a QuickBooks® Pro Backup FileCreate a Duplicate USB Drive
How to Exit QuickBooks® Pro and Remove Your USB Drive
End of Chapter Questions
CHAPTER 2: SALES AND RECEIVABLES
Accounting for Sales and Receivables
Training Tutorial
Training Procedures
Company Profile: Your Name’s Shape Up Center
Begin Training In QuickBooks® Pro
Open a Company–Your Name Shape Up Center
Verifying an Open Company
Beginning the Tutorial
Entering Transactions
Enter Sales on Account
Edit and Correct Errors
Print an Invoice
Enter Transactions Using Two Sales Items
Print an Invoice
Prepare Invoice for Purchase of Merchandise with Sales Tax
Add a New Customer while Recording an Invoice
Print A/R Reports
Use the QuickZoom Feature
View the Journal
Correct an Invoice and Print the Corrected Form
Record Customer Payments on Account
Record Additional Payments on Account
Make a Backup
Void and Delete Sales Forms
Prepare Credit Memos
View Customer Balance Detail Report
Add a New Account to the Chart of Accounts
Add New Service Items
Add New Inventory Part Items
Record Cash Sales for an Established Customer
Print Sales Receipt
Enter a Cash Sale for a New Customer
Analyze Sales
Deposit Checks Received for Cash Sales and Payments on Account
Print Journal
Back Up and Close Company
End of Chapter Questions
CHAPTER 3: PAYABLES AND PURCHASES
Accounting for Payables and Purchases
Add a New Vendor
Enter a Bill
Edit and Correct a Bill
Add a New Vendor while Recording a Bill
Voiding and Deleting Bills
Customize Report Format
Prepare Unpaid Bills Detail Report
Use the QuickZoom Feature
Modify Vendor Records
Enter a Credit from a Vendor
Paying Bills
Pay Bill with a Discount
Pay Bill with a Credit and a Discount
Printing Checks for Bills
Review Bills that have been Paid
Purchase an Asset with a Company Check
Edit, Void and Delete Checks
Prepare Check Detail Report
Missing Checks Report
Inventory
Purchase Orders
Verify Purchase Orders Active as a Company Preference
Prepare Purchase Orders to Order Merchandise
View Inventory Stock Status By Item Report
Change Minimum Reorder Limits for an Item
View Stock Status By Item Report after Item Changes
Prepare Purchase Orders for Items Below the Reorder Point
View the Stock Status By Item Report
Receiving Items Ordered
Record Receipt of Items and a Bill
Verify that Purchase Order is Marked Received in Full
Record a Partial Receipt of Items Not Accompanied by a Bill
Manually Close a Purchase Order
Enter Receipt of a Bill for Items Already Received
View the Accounts Payable Register
Preview and Print a QuickReport from the Accounts Payable Register
Print The Stock Status By Item Report
Print Accounts Payable Aging Summary
Print Unpaid Bills Detail Report
Pay Bills For Merchandise Ordered
Print Vendor Balance Summary
Print The Journal
Back Up Data
End of Chapter Questions
CHAPTER 4: PAYROLL
Payroll
Training Tutorial
Dates
Select a Payroll Option
Change Employee Information
Add a New Employee
View the Payroll Item List
Create Paychecks
Print Paychecks
View Checks, Make Corrections, and Print Checks Individually
Voiding and Deleting Paychecks
Missing Check Report
Payroll Summary Report
Prepare the Employee Earnings Summary Report
Payroll Liability Balances Report
Pay Taxes and Other Liabilities
Print the Journal
End of Chapter Questions
CHAPTER 5: GENERAL ACCOUNTING AND END-OF-PERIOD PROCEDURES
General Accounting and End-of-Period Procedures
Adjustments for Accrual-Basis AccountingAdjusting Entries–Prepaid Expenses
Adjusting Entries–Depreciation
Pay Sales Tax
View General JournalOwner Withdrawals
Additional Cash Investment by OwnerNon-cash Investment by Owner
Bank Reconciliation
Open Reconcile - CheckingEnter Bank Statement Information and Complete Begin Reconciliation Mark Cleared Transactions for Bank Reconciliation
Adjusting and Correcting Entries–Bank ReconciliationPrint a Reconciliation Report
View the Checking Account RegisterUndo a Previous Reconciliation, Delete an Adjustment, and Redo a Reconciliation
View a Previous Reconciliation ReportView the Journal
Prepare and Print the Trial Balance
Select Accrual-Basis Reporting PreferencePrint Standard Profit and Loss Statement
View a Standard Balance Sheet
Closing Entries
View Net Income/Retained Earnings in a Balance Sheet when there is a Change in the Calendar YearAdjustment to Transfer Net Income/Retained Earnings into Capital
Print Standard Balance SheetClose the Owner’s Withdrawal Account
Exporting Reports to Excel
Importing Data from ExcelPasswords End-of-Period Backup
Set the Closing Date for the PeriodAccess Transaction for Previous Period
Inventory AdjustmentsAdjust the Journal Entry for Net Income/Retained Earnings Print Journal
Print Post-Closing Reports
End of Chapter Questions
CHAPTER 6: CREATING A COMPANY IN QUICKBOOKS
Computerizing a Manual System
Dates
Company Profile: Your Name Movie Shoppe
Create a New Company
The EasyStep Interview
Complete the EasyStep Interview
Complete Company Information
Chart of Accounts
Items List
Enter Sales Tax Information
Customer List
Vendor List
Print Chart of Accounts
Preferences
Accounting
Bills
Checking
Desktop View
Finance Charge
General
Integrated Applications
Items & Inventory
Jobs & Estimates
Payroll & Employees
Reminders
Reports & Graphs
Sales & Customers
Sales Tax
Send Forms
Service Connection
Spelling
Tax: 1099
Time & Expenses
Payroll
Select a Payroll Option
General Notes on Payroll Setup
The Payroll Setup Interview
Begin the Payroll Setup
Company Section of the Payroll Setup
Employee Section of the Payroll Setup
Taxes Section of the Payroll Setup
Payroll History Section of the Payroll Setup
Print Payroll Item Listing and Employee Contact List
Correct Effective Date of Sick and Vacation Time
Adjusting Entries
End-of-Chapter Questions
PRACTICE SET: COMPREHENSIVE PROBLEM
APPENDIX A: INTRODUCTION TO WINDOWS®–SCREENS, TERMINOLOGY, AND DISK DUPLICATION
Introduction to Windows®
How to Use a Mouse
Mouse Terminology
Duplicating a Disk
How to Create a QuickBooks® Pro Backup File
How to Restore a QuickBooks® Pro Backup File
How to Exit QuickBooks ® Pro and Remove Your USB Drive
How to Close or Shut Down Windows®
INDEX