Accounts that are paid in regular intervals such as rent, or subscriptions can be set up as recurring transactions. Recurring transactions speed up the process of capturing these transactions and ensure they are always posted to the same accounts.
In QuickEasy BOS Professional you can flag a transaction as recurring.
These tutorials explain how to create and manage Recurring Transactions.
Navigate to Main Menu > Accounting > Ledger.
Use the Search bar and Filters to find the relevant transaction > double-click open the transaction,
Check the checkbox in the top right corner labelled Recurring.
Navigate to Main Menu > Accounting > Ledger.
Click Menu (button) > Open Recurring Transactions to display all the recurring transactions.
Right-click the recurring transaction > Copy to Ledger > Yes
A new (duplicate) transaction is created and opened on the left panel.
Modify the transaction as required.
Once updated and complete, set the Status to Complete.
Note: The latest transaction created becomes the recurring transaction for next time.
To avoid duplicate transactions for the same period, look at the Date field in the Recurring module to determine if a transaction has already been created for the required period.
The Date field is updated as new recurring transactions are created.
Accounting Take-On Balances
Bank Import
Bank Reconciliation
Budgets (Accounting)
Chart of Accounts
Currencies
Debit Orders
Entry Types
Financial Close Off
Ledger Views and Functions
Creating transactions for Discounts, Receipts, Refunds, Overpayments
Item and Transaction View Tutorials
Accessing various displays.
Reference
Settings
Reference
List of Output Fields
Trial Errors Tutorials (Accounts out of balance)
Finding and fixing errors.
Ledger Transactions
Recurring Transactions Tutorials (this page)
Post-dated Cheques
Statement of Financial Position
Statement of Profit or Loss
Trial Balance
User and General Accounts
VAT and GST