M. Sieder

5710 Milan Blvd., Brossard, Que., Canada J4Z 2A9

Products

30 accounts by name and number with 10 entries each plus balance. Schedule of accounts payable, transfer of balances for new entries plus printout. 16K.
TS 1000
30 accounts by name and number with 10 entries each plus balance. Schedule of accounts receivable, transfer of balances for new entries plus printout. 16K.
TS 1000
Work sheet with distribution, totals, and printout for G/L entries of 45 check in and 30 check out per day plus deposit slip printout. 16K.
TS 1000
30 identifiable balance and profit and loss accounts. Ten entries each per account. Trial balance and daily profit and loss statement, printout, transfer of balances for new entries. 16K.
TS 1000
30 identifiable items and numbers plus 10 entries each, instant balance, inventory listings with total movement/item, transfer of balances and printout. 16K.
TS 1000
Determine which customers are profitable, prepare forecasts. 16K.
TS 1000
Work sheet for cash, check, accounts receivable and sales giving printout of detailed distribution and totals for general ledger entry plus verification. 16K.
TS 1000
15 memos of 500 bytes each, plus date, address, subject and signature for storage, telephone transmission and printout. 16K.
TS 1000

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