End of Day Procedures – QuickBooks Point of Sale v10

Intuit QuickBooks Point of Sale v10 makes tallying the day’s sales, reconciling money and updating your financial software a quick, easy and efficient process. There are three different X/Z out reports from which to choose that allow you to monitor sales throughout the day, check on cash flow or close the store for the day and prepare bank deposits. More information is available @ quickbooks.intuit.com
Video Rating: 0 / 5


Leave a Reply


Powered by WP Robot