The 'All Batches' area lists every batch type posted in the current period together in one single view.

The batch types listed include every entry possible:


  • Bank Statement batches
  • Cheque batches
  • Deposit batches
  • Sales batches
  • Expense batches
  • Journal batches
    • Standard Journal
    • Double Journal
    • Quick Journal
  • Opening balances (auto-generated)
The screen, with entries in it, looks something like this:




  • Hit the 'View Summary' button and it will take you to the Journal Summary report which is a full detailed breakdown of every batch entry

  • By clicking on either the Debit or Credit balance on a single line you will be brought to the same 'Journal Summary' report for that individual batch entry only

  • By clicking on the batch entry name (under Description column) you'll be brought to a view-mode for that batch entry, from which you can go a step further and edit the batch by hitting the 'Edit' button

  • Batch numbers are continued from prior periods (if you delete a batch it may seem like the numbers are not consecutive, but you'll find the missing ones under the draft or delete tab)