Previous Topic

Next Topic

Book Contents

Book Index

Finalise the financial year

Your accountant should give you journal entries for adjustments.

You will have to remove the Close Period dates for the modules that you wish to access so you can enter the journal amounts.

Ensure that General Ledger reports balance with the accountant's reports.

Check all Close Period dates are in place so that there will be no further changes to the finalised Financial Year.

See Also

End of Year procedures

Prior to End of Year

At End of Year

After End of Year

Reports for Accountant

End of Year Rollover