Quickbooks 2013 Video Tutorial Course

CareerVision Training

£ 75 - ($ 1.390)
IVA inc.

Información importante

  • Training
  • Beginner
  • A distancia
  • Duración:
  • Cuándo:
    A definir
  • Envío de materiales de aprendizaje

• Format: DVD-ROM
• Duration: 9.5 Hours (115 lessons)
• Instructor: Barbara Harvie
• Platform: Windows PC or Mac
• Date Released 25-02-2013


In this Quickbooks 2013 training course, expert author Barbara Harvie teaches you how to setup and manage the accounting for your business using QuickBooks 2013. This video based Quickbooks tutorial removes the barriers to learning by breaking down even the most complex of operations into easy to understand, bite-sized pieces, making it fast and fun for you to learn. This course is designed for the absolute beginner, and no previous accounting software experience is required. You will start with the basics of using an accounting package - setting up your company file.

Información importante

Requisitos: This is a DVD Video Tutorial Course which is shipped to you. Work through the video tutorials at your own pace. If you have the software you can practice along with the instructor using the same exercise files as the instructor which are included on the DVD. The narrated training videos demonstrate the key tools and professional techniques helping you to work faster and smarter. All the concepts of each application are explained clearly and precisely. The DVD works on PC and Mac. You can jump to and from lessons and work at your own pace.


Dónde se enseña y en qué fechas

inicio Ubicación
A definir
Distance Learning

¿Qué aprendés en este curso?

Business Accounting
Invoice software
Managing Banking
Managing Finance


01. Introduction
0101 About QuickBooks Pro 2013 And Who Should Use It
0102 What You Will Learn
0103 How To Use The Working Files
02. Setting Up A QuickBooks Company File
0201 Overview Of Setting Up A Company File
0202 Using Express Start To Create A Company File
0203 Using The EasyStep Interview - Part 1
0204 Using The EasyStep Interview - Part 2
0205 Quick Setup: Vendors, Customers, And Bank Accounts
0206 Entering Historical Transactions
03. Quick Tour Of QuickBooks Pro
0301 Starting And Navigating Through QuickBooks Pro
0302 About QuickBooks Centers
04. Customizing The Company File
0401 Setting Up Preferences
0402 Viewing Your Accounts
0403 Adding A Bank Account
0404 Adding And Editing Accounts
0405 Lab: Creating An Account With Sub-Accounts
05. Setting Up Your Products And Services
0501 Adding Items For Services
0502 Adding Items For Non-Inventory Parts
0503 Adding Items For Other Charges
0504 Setting Up A Subtotal Item And Discount Item
0505 Grouping Items
0506 Adding Items For Payment
0507 Adding Items For Sales Tax
0508 Editing Items
0509 Lab: Adding Items For Services, Non-Inventory Parts, And Other Charges
06. Setting Up Customers And Jobs
0601 About Customers And Jobs
0602 Adding Customers
0603 Adding Jobs
0604 Tracking Leads
0605 Working In The Customer Center - Part 1
0606 Working In The Customer Center - Part 2
0607 Lab: Adding A Customer And Job
07. Setting Up Vendors
0701 About Vendors And Vendor Types
0702 Adding Vendors
0703 Working In The Vendor Center
0704 Lab: Adding A Vendor
08. Working With Other Lists
0801 Setting Up The Price Level List
0802 Setting Up And Using Classes
0803 Setting Up The Fixed Asset List
0804 Using The Customer And Vendor Profile Lists
0805 Setting Up The Currency List  
0806 Lab: Adding A Price Level And A Class
09. Before Your First Sale
0901 About Estimates
0902 Writing An Estimate
0903 Lab: Create An Estimate And Making An Estimate Inactive
10. Invoicing Customers
1001 Choosing A Sales Form
1002 Choosing An Invoice Type
1003 Filling Out The Invoice
1004 Handling Credits, Refunds, And Prepayments
1005 Generating An Invoice From An Estimate
1006 Using Progress Invoicing - Part 1
1007 Using Progress Invoicing - Part 2
1008 Creating A Batch Invoice And Recurring Invoices
1009 Creating Statements
1010 Lab: Creating An Invoice
11. Receiving Customer Payments
1101 Setting Up Accounts Receivable Options
1102 Receiving A Payment
1103 Handling Overpayments, Credits, And Discounts
1104 Handling Down Payments
1105 Handling Cash Sales
1106 Lab: Receiving A Payment
12. Handling Overdue Payments
1201 Using The Collections Center
1202 Tracking Customer Balances
1203 Handling Finance Charges
1204 Creating Reminder Statements And Collection Letters
13. Tracking Time And Mileage
1301 Tracking Time
1302 Tracking Time For A Single Activity
1303 Filling Out Timesheets
1304 Setting Up For Reimbursable Expenses And Billable Time
1305 Tracking Mileage
1306 Lab: Invoicing For Reimbursable Expenses
14. Paying Bills
1401 Setting Up Bill Preferences
1402 Entering A Bill For Expenses
1403 Setting Up Recurring Bills
1404 Paying Bills
1405 Paying By Check Without Entering A Bill
1406 Paying Sales Tax
1407 Lab: Paying Bills
15. Tracking Inventory
1501 Setting Up For Inventory
1502 Adding Items For Inventory
1503 Creating Inventory Groups
1504 Lab: Creating An Inventory Group
16. Purchasing And Receiving Inventory
1601 Creating Purchase Orders
1602 Receiving Inventory - Part 1
1603 Receiving Inventory - Part 2
1604 Preparing Inventory Reports
1605 Counting Inventory
1606 Making Inventory Adjustments
1607 Lab: Creating A Purchase Order And Receiving Inventory
17. Basic Checkbook Transactions
1701 Using Registers
1702 Writing A Check, Voiding A Check, And Transferring Money
1703 Depositing Money
1704 Lab: Making A Deposit
18. Handling Other Banking Tasks
1801 Handling Checks That Bounce
1802 Reconciling A Checking Account
1803 Tracking Petty Cash
19. Reports Overview
1901 Setting Up Reports Preferences
1902 Using The Reports Center
20. Understanding Your Finances
2001 Profit And Loss Report
2002 Balance Sheet Report
2003 Statement Of Cash Flows
21. Customizing Reports
2101 Changing Display Options For Summary Reports
2102 Changing Display Options For Detail Reports
2103 Choosing Advanced Options
2104 Filtering Reports
2105 Changing Report Formatting
2106 Saving Customized Reports
22. Managing Your Company File
2201 Making A Backup
2202 Restoring From A Backup And Making A Portable Company File
2203 Making An Accountants Copy
23. Year-End Procedures
2301 Fiscal Year-End Tasks
2302 Making Year-End Journal Entries
2303 Calendar Year-End Tasks
24. Conclusion
2401 Wrap-Up
2402 About The Author