Tax season prep for your clients starts with getting all their ducks in a row. That means compiling bank transactions for the calendar year in their accounting software. To get that information into FreshBooks, you’ll use the Bank Connection and Bank Reconciliation features. In conversations with accounting and tax professionals, we’ve noticed a few questions […]
The post Accountants’ Top 3 FreshBooks Year-End Bank Reconciliation Questions, Answered appeared first on FreshBooks Blog - Resources & Advice for Small Business Owners.