Recent Transactions
| DATE | PAYEE | REF # | TYPE | MEMO | PAYMENT | DEPOSIT | OFFSET ACCOUNT | BALANCE | R | ACTIONS |
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Quick Actions
Create common transaction types| DATE | NAME | TYPE | DESCRIPTION | REF # | R | ACCOUNTS | AMOUNT | ACTIONS | |
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📊 Select Bank Account
Choose the bank account you want to reconcile
Bank Account Reconciliation
💳 Unreconciled Transactions
📄 Enter Statement Information
➕ Add Adjustment
Add a service charge, bank fee, or interest payment discovered during reconciliation.
📈 Reconciliation History
View and manage past reconciliation sessions
💾 Memorized Reports
Financial Reports
Select a report to generate.
| Status | Task Name | Type | Schedule | Next Due | Last Completed | Actions |
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⚡ Automated Jobs RUNS AUTOMATICALLY
Background tasks that run automatically when the app is open — no manual action needed.
🔗 Bank Feeds
🏦 Manage Bank Connections (click to collapse)
| Date | Description | Amount | Account Mapping | Vendor/Customer | Match Status |
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| Date | File Name | Format | Transactions | Status | Actions |
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| Rule Name | Group | Pattern | Account | Priority | Actions |
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🎯 Transaction Matching
Recent Uploads
| Date | Type | Vendor | Amount | Confidence | Status | Actions |
|---|---|---|---|---|---|---|
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QuickBooks Data Import
Choose which phase to begin. Skip phases you've already completed.
Phase 1: Master Data
Import your accounts, customers, vendors, items, and classes. This creates the foundation for your company data.
Phase 2: Opening Balances (skip if importing full history)
Sets a single snapshot of your balances as of your migration date (use a trial balance or EOY balance sheet). Pair with Phase 3 only if Phase 3 imports transactions dated ON OR AFTER the migration date. If Phase 3 includes pre-migration transactions too, those balances will double (opening snapshot + the same transactions that produced it).
Phase 3: Transaction History
Imports your transactions. Two ways to use it: (a) after a Phase 2 cutover — import only transactions ON OR AFTER the migration date, or (b) for a full history import — skip Phase 2 entirely and set the migration date to a day before your company's very first transaction, then import everything.
Phase 4: Build Bills & Invoices from History
Recommended after a QuickBooks Online (QBO) journal-export import. Phase 3 imports the journal entries themselves, but the QBO export doesn't include the structured Bill/Invoice records that QuickBooks Desktop exports do. This phase walks your imported journal and builds the matching Bills, Invoices, Bill Payments, and Customer Payments records — pairing payments with the bills/invoices they paid using oldest-first (FIFO) matching.
Why run it: unlocks Pay Bills, the Vendor / Customer Center bill/invoice lists, and the open-AR / open-AP aging reports for QBO-imported data. Safe to skip if you imported from QB Desktop with the detailed-bills option (already handled), or if you're not using these views.
Use Phase 2 only if: you're doing a clean cutover — importing no pre-migration-date transactions, and want a single opening-balance entry to represent everything before that date.
Skip Phase 2 if: you plan to import your complete transaction history. The balances will build themselves from the ledger, and no duplicates are possible.
| Account Number | Account Name | Debit | Credit | Balance |
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Customer Transactions:
Reports → Customers & Receivables → Transaction List by Customer
Set dates → Click "Show Filters" → Remove "Detail Level: Summary Only" → Excel → Export as CSV
Big customer list? QuickBooks caps a single export at 32,768 rows. If your data spans several CSVs, just add them all to the upload box below — together or one at a time — and BizBooks merges them into one import.
Vendor Transactions:
Reports → Vendors & Payables → Transaction List by Vendor
Set dates → Click "Show Filters" → Remove "Detail Level: Summary Only" → Excel → Export as CSV
| Date | Type | Reference | Name | Memo | Accounts | Amount |
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| Date | Batch Name | Phase | Platform | Records | Status | Actions |
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🩹 Resolve Import Suspense Accounts
For each suspense account below, choose the correct target account. All transaction entries will be moved from the suspense account to the target, and balances will be recalculated automatically.
No suspense accounts found
Your import is clean — there's nothing to remap.
| Suspense Account | Entries | Total Debits | Total Credits | Reassign to → | Delete after merge |
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