<p/><br></br><p><b> Book Synopsis </b></p></br></br><strong>The ONLY book for using QuickBooks Pro, Premier, or Nonprofit in a Nonprofit or a Religious Organization. </strong><br>The Accountant Beside You, CPA Lisa London, has helped tens of thousands of readers worldwide set up efficient systems to reduce frustration and save time and money. In <em>QuickBooks for Nonprofits & Churches-The Step-By-Step Guide to the Pro, Premier, and Nonprofit Versions</em>, Lisa explains in simple, concise terms the steps you need to take to: <ul><li>design a chart of accounts for your specific organization, </li><li>receive and track grants, </li><li>handle payroll in house, including pastor housing allowance, </li><li>use bank feeds, </li><li>record investment income and stock gains & losses, </li><li>track member accounts, </li><li>keep the money safe with easy to follow internal controls</li><li>customize donor acknowledgements</li><li>and so much more.</li></ul>A CPA with decades of experience working with businesses, nonprofits, and churches, Lisa London explains complex concepts in a reader-friendly engaging manner. Hundreds of screen shots guide you through the process. Whether you are new to QuickBooks or an experienced user, Lisa London will be <strong>The Accountant Beside You</strong> all the way. <p/><strong>Table of Contents</strong><br><strong>Chapter 1 QuickBooks, Fund Accounting, & Internal Controls <br>Chapter 2 Acquainting Yourself with QuickBooks <br>Chapter 3 Getting Started <br>Chapter 4 Designing the Chart of Accounts </strong> <strong>Chapter 5 Tracking Grants & Programs <br>Chapter 6 Tracking the Transactions-Items <br>Chapter 7 Setting Up Donors and Vendors <br>Chapter 8 Importing Donors & Vendors from Files<br>Chapter 9 Recording the Money Coming In <br>Chapter 10 Recording the Money Going Out <br>Chapter 11 Entering Payroll <br>Chapter 12 Using Bank Feeds </strong><br><strong>Chapter 13 Reconciling the Bank <br>Chapter 14 Designing & Running Reports<br>Chapter 15 Planning the Budget <br>Chapter 16 Closing Out Month End and Year End</strong><strong>Chapter 17 How Do I Handle...? </strong> <ul><li>A. How Do I Account For ...? </li><li>1. Mission Trips or Member-Specific Accounts </li><li>2. Fundraisers </li><li>3. In-Kind Donations </li><li>4. Volunteer Hours </li><li>5. Show a Reserve Account on the Income Statement </li><li>6. Inter-fund Transfers </li><li>7. Donations of Stock </li><li>8. Investment Gains and Losses </li><li>B. How Do I ...? </li><li>1. Set Up Multiple-Users and Passwords </li><li>2. Send an Accountant Copy </li><li>3. Record a Mortgage </li><li>4. Send a Thank You from the Receipts Screen </li><li>5. Using the purchase order option on grants </li><li>6. Merge duplicated donor or vendor accounts
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