Common HandiSoft Program Functionality
Bank reconciliations and prior year outstandings
Copying data to accountant in HandiBiz
Function keys
Transferring data between HandiBiz and HandiLedger
Financial Reports do not display the cashbook entity's name Showing the entity name in the Trial Balance
Installing two HandiBiz applications on one computer
Credit Notes
Debtors and creditor payments in advance
Editing debtor and creditor entries
Verifying debtor and creditor balance