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A/R, Payments, Vendor Bills & QuickBooks Exports

Work Orders - Billing Pipeline

Closed = QA released, ready to invoice · Awaiting Payment = invoice sent · Paid = closed + paid
Ready to Invoice
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QA released, no invoice yet
Awaiting Payment
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Paid (last 30d)
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closed + paid
Total Open Revenue
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unpaid across pipeline
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Customer Invoices

Create, send, track customer invoices
Total
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invoices on file
Outstanding
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Paid
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invoices marked paid
Revenue
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from paid invoices
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Payments & Reconciliation

Every charge · every payout · every fee - matched to the bank
Gross (30d)
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before fees
Fees (30d)
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stripe processing
Net (30d)
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deposited to bank
To Reconcile
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payouts unchecked
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Purchase Orders

Every PO we've cut - vendor bills tracked here
Open full PO screen →
Total
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POs on file
Open
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Draft
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not yet sent
Committed
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total $ across POs
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A/R Aging

Unpaid invoices grouped by days outstanding
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QuickBooks CSV Export

Download filtered CSVs for QuickBooks Online import

Pick the data type and a date range, then download. Each CSV matches a QuickBooks Online import template: Invoices → Sales > Import Invoices; Payments → reconcile against the Undeposited Funds account; Bills → Expenses > Enter Bills.

QuickBooks Connection

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Auto‑Sync Triggers — all default OFF; manual push always works

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Exception Queue

Failed, needs‑review, and needs‑resync items across invoices, vendors, POs, and inventory.
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Month‑End Reconciliation

JMGMT operational totals to compare against QBO balances.
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Work in Process (WIP)

Open work orders with accumulated labor + parts at cost (run on 12/31 for year‑end).
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Manual Actions