Contents
Registering with Numia
Adding New Customers
Adding New Vendors
Adding Accounts
Adding Bank Accounts
Adding New Users
Adding Products
Creating Invoices
Receiving Payments
Recording Cash Sales
Recording Customer Refunds
Vendor cash Purchase
Vendor Credit Purchase
Pay bills
Vendor Refund
Vendor Prepayments
Write,print and upload checks
Entering Credit card charges
Entering Credit card Credit
Recording Deposit Transaction
Recording Withdraw Transaction
Transferring Funds
Recording a Journal Entry
Recurring Transactions
Bank Reconciliation
Reports Overview
Customization of Reports
Audittrial
Backup