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Results for “financial” — 20 results

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Security best practices for administrators

Protect your Usystems account and sensitive financial data with essential security practices.

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Consolidated reporting across the holding

Generate company-wide reports that combine data from all product lines.

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Running the Balance Sheet report

Generate a Balance Sheet to see your company's financial position at a specific date.

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Accountant: your first day

Get oriented: what an accountant does and the essential reports and reconciliations.

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Reading and interpreting the Balance Sheet report

Understand what each section means and how to spot financial trends.

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Step 3 — Accounting structure: required accounts

Review and confirm the chart of accounts created for your business type.

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Documents vs journal entries: how the ledger stays correct

Learn why Usystems keeps a two-layer transaction record—documents and journal—and how they work together.

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Chart of accounts: structure and account types

Understand how accounts are organized and what each type represents.

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FAQ: Accounting Impact

Questions about GL postings, inventory, and financial statement impact.

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Glossary of system terms (English ↔ Dari)

Quick reference for English and Afghan Dari terminology used throughout Usystems.

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Enabling multi-currency

Turn on multi-currency support for your business to work with multiple currencies.

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Working with multiple branches

Enable and organize locations as your business expands.

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Reading and interpreting the Inventory Value report

Understand how the report calculates value and what it means for your business.

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Emergency services and billing

Record medical services provided and generate an invoice for emergency care.

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What a bill posts to the general ledger

Understand how Usystems records a bill's accounting impact when it's created or received.

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Debits and credits in plain language

Learn how debits and credits work without the jargon—and why they matter for your reports.

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How inventory is valued

Understand the methods Usystems uses to calculate the value of your stock.

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Setting the fiscal year start

Configure when your company's financial year begins for accounting and reporting.

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Step 6 — Creating the admin user and default roles

Set up your first full-access admin account and assign permission groups to your team.

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Statuses across the system: draft, unpaid, partial, paid

Understand the lifecycle of a financial document from creation to final settlement.