Data Health & Insights
By Alexander1 author54 articles
- Using the Fixed assets reconciliation check
- Using the Historical changes check
- Using the Unreconciled Transactions check
- Using the Duplicate contacts check
- Using the Duplicate transactions check
- Using the Contact defaults check
- Using the Dormant accounts check
- Using the Control accounts check
- Using the Bank Reconciliation check
- Using the ABN validation check
- Using the Multi-coded contacts check
- Using the Corporation Tax check
- Using the Lock date history check
- Using the VAT return checks
- Using the Prepayments tracker
- Using the Transaction cleanup check
- Using the Entertainment accounts check
- Using the GST return checks
- What are Workflows in Dext?
- Using reviewers in workflows
- How to complete a workflow
- How to create and manage custom checks
- How to create a repeating workflow
- How to create and manage client tags
- How to create a one-off workflow
- How to create and manage Workflow Templates
- Using the Workflow List
- How to manage repeating workflows
