Once you’ve imported your transactions from your bank, you’re ready to begin using the transactional data to create new invoices, purchases & bank transactions and allocating them to existing ones – this is called ‘Matching’ in KashFlow. Matching allows you to do two things – Create – using the create…
Read more We have taken onboard the feedback given on KashFlow Canvass since we launched the Bank Feeds service last year in order to improve the functionality and user experience. This article details the first phase of enhancements that has just been deployed into KashFlow. 1 >> Disable auto-matching and custom rules: To disable rules, you need…
Read more You can record a loan by creating a new bank account in KashFlow, this will always have a negative balance until the loan is paid off and represents the debt you owe. Creating the Loan Account To start, first go to Bank > Add New Account. The three required details you…
Read more In this article we will explain how to create Bank Transfers in KashFlow. It’s really simple to create a Bank Transfer in KashFlow. You first go to Bank then hit one of the two buttons named Transfer Money. You will then be presented with a pop up where you select the accounts…
Read more This article will explain how to record Expenses of the business paid with the personal money by your staff, or yourself, that you then wish to reclaim or simply record. The method by which we do this is by creating a Bank Account entitled “Expenses”. Setting Up To begin, you will…
Read more This article describes how to deal with retail, cash and daily sales
Read more If you are currently using our old style bank reconciliation then you might fancy an update to our new style which makes reconciling clearer and more efficient. If you do then there are a few steps you need to follow to make sure the transfer all goes smoothly. A screenshot…
Read more This article gives guidance on how to handle cheques in KashFlow
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