Payment Cycle - dinasor moving from desktop to online
Hi all;
I've been on the Desktop version - various editions - for more years than I can count.
QBO has alot of things that work differently so inparticular I'm looking for guidance on the best way to handle the following:
In the desktop version, I would manually transpose payment information I'd see in the Bank account to create bill payments through out the month. Than at the beginning of the following month, I would bring in the prior month bank feed, let it match up what it could, and work my way through what it couldn't matchup on its own.
but now with QBO, I've side step a little and just bring in the feed and let it do what it can. than I work my way through what it can't match up on its own.
Only I just had a situation were a matched and reconciled payment was linked to two invoices - and it was a mess to figure out how to fix it.
so I'm wondering if I should be following what I use to do in the desktop version??
Or if there is a better way?
Thanks