Responsible ** Hayssam Bejjani (Sales)
Last Update 16/12/2022
Members 2
  • Bank & Bank Reconciliations
    • How to Create a Bank Journal/Account
    • How to Create and Import Bank Statements (Manually)
    • How to Create an Internal Bank Transfer & Reconcile to a Bank Feed
    • How to Reconcile Bank Statements
    • How to Create a Reconciliation Model
    • How to Create an Overpayment through the Bank Reconciliation Window
    • How to Revert a Reconciliation
  • Sales
    • Preview
    • How to Manually Register a Payment to an Invoice
    • How to Create Batch Deposits
    • How to Pay Invoices in Bulk
    • How to Create a Down Payment
    • How to Manage Customer Overpayment
    • How to manually register a payment using manual exchange rates (Receive foreign currency to a local currency bank account)
    • How to Bulk Invoice SOs for a future date
  • Overhead
    • How to Create, Edit and Cancel Bill
    • How to Register and Remove Payment for Bills
    • How to Attach a Document to the Bill
    • How to Forward Bills to Documents App or Manually Upload Bills to Document app
    • How to Upload Document Directly to Accounting Module
    • Update & Organise the document uploaded (Split Document with Multiple Bills)
    • How to Create bills in Document App (Single & Bulk)
    • Send Bills for digitalisation and confirm/approve bills
    • How to Send Supplier Remittance Form
  • Purchasing
    • How to Create a Supplier Prepayment
    • How to Create ABA batch Payments
    • How to Pay Bills in Bulk
    • How to Create a credit note through a bill
    • How to create the final bill and apply the supplier deposit
    • How to Update Supplier Bank Account Details for ABA Transfers
    • How to Register Payment using Manual Exchange Rates
    • How to Apply Landed Cost
    • How to Create a stand alone vendor payment and reconcile against Foreign currency bank (AUD bank/USD Bill)
  • Chart of Accounts
    • How to Create a new GL Account/Edit/Deprecate & Delete
    • How to Create an Accounting Group and Assign a GL Account to the Group
  • Documents App
    • How to limit user access to specific folders & lock document
    • How to create Folders & sub-folders
    • How to assign email addresses to each folder and email documents to that folder
  • Year End / Month End
    • Budget Analysis
    • How to Lock Dates
    • How to Close the Fiscal Year
    • How to Create, Reverse & Cancel a Journal Entry
    • How to do Account Reconciliation
    • How to create stock adjustment
  • Tax & Reporting
    • Understanding the Inventory Valuation Journals
    • How to View a Journal Entry Related to a Transaction
    • How to Run the GST Tax Report and Close Tax Journal
    • How to Run Various Accounting Reports
    • How to run an Aged Receivable and Aged Payable Report
  • Setup
    • Initial Set-up
    • Additional Settings
    • How to Create Payment Terms and update to Customer/Vendor
    • How to Add a Tax Code
    • How to Edit/Map Revenue and COGS Accounts
    • How to Create a New Product Category
    • How to Create and Apply Fiscal Position
  • Rebates
    • Managing Customer rebates - Method one (Standard Xero method)
    • Managing Customer rebates - Method two (Coding expenses directly)
  • Debtor Financing
    • How to run the customised AR report
    • How to Export AR report from Odoo and Import them in Waddle
    • How to export Customer Payments from Waddle and Import & Reconcile it in Odoo
  • Follow-ups
    • How to create Follow-up level in Odoo
    • How to send Customer Statements or Follow-ups Manually
    • How to view outstanding follow-up report
  • Budget Configuration
    • Budget Configuration
    • How to Create Budgetary Positions
    • How to Create a New Budget
    • How to Import Budgets