Accounting - General

The Income Statement and Balance Sheet Explained Webinar
Watch The Income Statement and Balance Sheet Explained webinar below:  
Thu, Jan 18, 2018 at 2:41 PM
Clients Paying Vendor Directly Webinar
Watch the Clients Paying the Vendor directly webinar below:
Fri, Sep 29, 2017 at 3:07 PM
Finding Other Transactions Affecting Accounts on Certain Reports
This article applies to the Accounts Receivable Aging, Accounts Payable Aging, Open Client Deposit Report, Open Vendor Deposit Report, and the Work in Proce...
Wed, Nov 29, 2017 at 2:25 PM
Current Year Income on the Balance Sheet does not match Net Income on Income Statement
There are three possible causes for this problem.  Before trying any of these suggestions, make sure that you have a good back-up of Design Manager that you...
Wed, Nov 29, 2017 at 2:26 PM
Troubleshooting for Credit Card Processing
Check the Cayan/Merchant Warehouse SiteID, Key, and Name you entered into Design Manager.  Make sure they are all entered case-sensitive; the name must be...
Tue, Jan 2, 2018 at 10:13 AM
Example and explanation of Equity Accounts
Click here to read a 3rd party article with examples and the explanation of Equity Accounts. If the link above does not work, please see the attached PDF. ...
Tue, Jul 17, 2018 at 5:31 PM
Working with the Equity section of the Balance Sheet
The key to understanding Equity accounts is having a working knowledge of how debits and credits are recorded depending on whether a transaction calls for...
Fri, Sep 22, 2017 at 1:51 PM
Percentage of Completion Billing and Design Manager
Typically percentage of completion recognizes revenues as a percentage of current cost compared to the total estimated cost of a contract (or project). Cost...
Wed, Nov 29, 2017 at 2:35 PM
What Reports to export/print if you stop using Design Manager Cloud
If you have decided to discontinue the use of Design Manager Cloud and you want to have your accounting information on-hand for tax purposes, we suggest pri...
Thu, Dec 5, 2019 at 11:59 AM
Converting Financial Statements to a Cash Basis
To convert to a cash basis you will need to make journal entries to close accounts receivable, accounts payable, vendor deposits and client deposits and wor...
Thu, Jan 18, 2018 at 2:45 PM