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Receiving Funds into a General Retainer
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Paying Bills Using General Retainer Funds
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Transferring Funds Between General Retainers
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Refunding a General Retainer
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Replenishing a General Retainer
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Working with Transfer Funds
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Getting to Know the 'Banking' Page
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Creating General Journal Entries
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Processing Client Payments
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Understanding the Year-end Process in Actionstep