Documentation
Engagements
Transaction Review
Reconciliation
Reports(P&L + Balance Sheet)
100

This feature is used in IEP when requesting documents.

Client request

100

Monthly and Permanent.

What is our client note?

100

Where do you look in MER to see if there are transactions still in the banking feed?

What is Transaction Review 

100

I am lingering here from a prior month.

What is an unreconciled transaction

100

I am a P&L account that should never be used.

What is Reconciliation Discrepancy?

200

8675309 Bank o' Jenny suptembor. How is this correctly named using Intuit naming conventions?

20210930-Jennys Bank-5309

200

I am the middle bubble within the series of 5 bubbles from the progress column in engagements.

What is account reconciliation

200

I am often left here alone in the dark instead of being put in a bank deposit.    

What is undeposited funds?

200

This is used to remove balance sheet accounts with Zero transaction history from the balance sheet reconciliation.

What is 'select accounts' in Reconciliation tab?

200

You can move me, and uncategorized transactions like me here, after you have sent a CR.

What is ASK MY CLIENT?

300

You have submitted a review with 3rd party unreconciled payroll, what is your lead looking for? 

Request was sent for documentation if payroll is 3rd party. 

300

My client name is BOLD in engagements

What is new documents/chats/comments

300

I'm often found on the description line of a transaction

WHAT IS A PAYEE NAME!!!

300

My Balance should ALWAYS be Zero!

What is Opening Balance Equity

300

Customizing me this way can show you where an expense has been missed.

What is P&L by month?

400

In what two places do you rename documents uploaded from the SMB?

BOX and IEP

400

We are 3 items in Engagements that would be issues/flags during a lead review

What are improper notes, old open requests, Unanswered client chat/comments

400

I am not attached, or received, to an invoice

what is an unapplied payment

400

I should never have a Negative balance

Asset and Liability accounts

400

Use me to catch any miscategorized transactions prior to sending out the financial statements.

What is the Reclassify tool

500

This documentation is required for a House Flipper, including the Purchase and sale of assets.

Purchase agreement, Loan documentation, Final seller statement. 

500

48 HOURS is our deadline

What is our Chat SLA? 

500

Steps when leaving a transaction uncategorized

What is categorization history, vendor review/research, Client request  

500

I have been reconciled to the current register balance, vs the statement balance.

What is the improper way to reconcile an account?

500

If I am a high value transaction you should check with the smb to confirm if I am one of these.

What is a Capitalized Asset