Recognize the fundamental concepts and tools in Xero and Excel for efficient transaction processing, adjustments, and bank reconciliations.
Identify the differences and similarities in the handling of sales, expense, and payroll cycles between Xero and Excel.
Interpret the results of different accounting processes performed in both Xero and Excel.
Apply the learned concepts to conduct practical data input for two months in Xero and Excel.
Illustrate each transaction recorded in Xero within an Excel accounting worksheet.
Analyze the results of adjusting entries, closing entries, and bank reconciliations in Xero and Excel.
Compare the efficiency and effectiveness of Xero and Excel for various accounting tasks.
Create an optimized workflow for handling daily, monthly, and annual accounting tasks across both Xero and Excel.
Evaluate the pros and cons of using Xero and Excel for accounting purposes, with a focus on transparency and control.
Formulate strategies to leverage the strengths of both Xero and Excel in managing accounting tasks.
Synthesize knowledge gained to optimize the use of Xero and Excel in real-world accounting scenarios.
Demonstrate a comprehensive understanding of Xero and Excel by solving complex accounting problems.
Argue the benefits and drawbacks of manual data input in Excel versus automated processing in Xero.
Design a personalized accounting process flow utilizing the strengths of both Xero and Excel.
Xero 2023- Getting Started
1012 30 Day Free Trial & Purchase Options
1080 Dashboard
1100 Bank Feeds
Excel – Setup Worksheet
1025 Create Accounting Worksheet Part 1
1028 Create Accounting Worksheet Part 2
1031 Create Accounting Worksheet Part 3
1034 Create Accounting Worksheet Part 4
1037 Create Accounting Worksheet Part 5
1040 Create Accounting Worksheet Part 6
1043 Create Accounting Worksheet Part 7
1046 Create Accounting Worksheet Part 8
1049 Create Accounting Worksheet Part 9
1052 Create Accounting Worksheet Part 10
1055 Create Accounting Worksheet Part 11
Xero-Vendor, Accounts Payable, Expenses, or Purchases Cycle 2023
1140 Vendor, Expense, or Payments Cycle
1160 Bills To Pay and Suppliers
1180 Bill Form
1200 Payment Form to Pay Bill
1220 Purchase Order Form P.O.
1222 Bill With Inventory Connected to P.O.
1227 Inventory Adjustment
1260 Check Form or Spend Money Form
Excel-Vendor Cycle, Purchases Cycle, or Accounts Payable Cycle Transactions
1180 Bill Form
1200 Pay Bills Form Check
1260 Check Form
1280 Void Check Prior Period Adjustment
Xero-Customer Cycle , Sales Cycle, or Accounts Receivable Cycle 2023
1300 Customer, Revenue, or Account Receivable Cycle
1320 Invoice Center & Customer Information
1340 Invoice Form
1360 Receive Payment on Invoice
1380 Receive Money or Deposit Form
1400 Receive Money Form – Cash Basis Sale
1405 Barter Sale Transaction
1433 Quote or Estimate
Excel-Customer Cycle, Sales Cycle, or Accounts Receivable Cycle Transactions
1340 Invoice Form
1360 Receive Payment Form
1380 Deposit Form
1400 Sales Receipts Form
1420 Credit Memo Refund Form & Bad Debt Expense Service Item
1488 Credit Memo with Inventory
Xero-Employee Cycle Overview
1480 Payroll Overview
Excel-Employee Cycle – Payroll Cycle Transactions
1520 Pay Employees Form
1522 Pay Employees Form Part 2
Xero-Lists-Chart of Accounts & Products & Services Lists
1580 Chart of Accounts
1600 Products & services
Xero-Reports Overview
1640 Reports Overview
Xero-Balance Sheet Report 2023
2020 Balance Sheet Report Overview
2040 Report Formatting Basics
2100 Comparative Balance Sheet Creation
2120 Balance Sheet Vertical Analyses
2180 Reports – Print, Save as PDF, & Organize
2181 Export Balance Sheet to Excel
Xero-Profit & Loss / Income Statement 2023
3020 Profit & Loss, P&L, Income Statement Overview
3040 Comparative Profit & Loss, P&L, Income Statement
3100 Print, Save as PDF, & Organize Profit & Loss or Income Statement Reports
3105 Export to Excel Profit & Loss or Income Statement Reports
Xero-Statement of Cash Flows & Supplemental Reports
4020 Statement of Cash Flows
4040 Accounts Receivable Aging Reports
4060 Accounts Payable Aging Reports.
4065 1099 Reports
4080 Sales by Customer & Sales by Item
4140 Inventory Reports
4160 Payroll & Employee Reports
4180 Reconciliation Reports
4200 Transaction Reports
4225 Trial Balance
4240 Budget & Financial Performance Reports
4260 Accounts Receivable Graphs
4300 Accounts Payable Graphs
4320 Sales by Customer, Account, & Item Graphs
Xero-Start a New Company File in QuickBooks
6010 Comprehensive Practice Problem Introduction
6040 Free 30 Day Trial
6060 Navigation Overview & Company Setting
Xero-Company Preferences
6080 Settings – Profile & General
6100 Organization Settings – Features
Excel-Create Worksheet for New Company Accounting Transactions
6010 Set Up Excel Worksheet
6012 Set Up Excel Worksheet #2
6014 Set Up Excel Worksheet #3
6016 Set Up Excel Worksheet #4
Xero-Adding Service Items & Inventory Items
6240 Entering Beginning Balances, Customers, Vendors, & Items Overview
6260 Enter Service Items
6280 Inventory Tracking Options
6300 Set Up Inventory Items
Excel-Adding Inventory Items & Related Inventory Account Balances
6300 Inventory & Inventory Subsidiary Ledger
Xero-Sales tax Setup, Add Customers & Add Vendors
6320 Sales Tax Set Up
6340 New Customers Setup & Accounts Receivable Beginning Balances
6360 New Vendors Setup & Accounts Payable Beginning Balances
Excel-Add Customers, Add Vendors, & Accounts Receivable & Accounts Payable Balan
6340 Accounts Receivable & Subsidiary Ledger
6360 Accounts Payable & Subsidiary Ledger
6362 Financial Statements
Xero-Opening Balances, Adjustments to Equity, & Manual Payroll Setup
6380 Add New Accounts & Opening Balances
6400 Adjust Opening Balances
6420 Payroll Set up
6440 Generate Reports After Entering Beginning Balances
Excel-Add Opening Account Balances
6380 Add New Accounts & Opening Balances
6383 Adjust Beginning Balances in Worksheet for Current Period Data Input
Xero-Month 1- Record Owner Investment, Purchase of Fix Asset & Investment
7020 Deposits – Owner Investment & Loan
7040 Record Investment
7043 Purchase of Fixes Assets
Excel-Month 1-Record Owner Investment, Purchase of Fixed Assets & Inventory
7020 Record Deposits from Owner and Loan
7040 Purchase of Furniture & Investment Transactions
Xero-Month 1- Enter Purchase Order & Enter Check or Expense Form from PO
7060 Enter Purchase Order P.O.
7080 Payment for Inventory Linked to Purchase Order P.O.
7083 Transaction Correction
Excel-Month 1-Enter Transactions for Purchase of Inventory
7080 Cash Payment for Inventory Linked to Purchase Order P.O.
Xero-Month 1- Enter Invoice, Sales Receipt, & Deposits
7100 Invoice Selling Inventory
7120 Receive Payment Or Deposit From Invoice
7140 Receive Money Form Payment Received at Point of Sale
7160 Deposits From Cash Clearing Account
Excel-Month 1-Enter Transactions for Sale of Inventory and Deposits
7100 Invoice Selling Inventory
7120 Receive Payment From Previous Invoice
7140 Sales Receipt Payment Received at Point of Sale
7160 Deposits From Undeposited Funds
Xero-Month 1- Enter Invoice, Receive Payment Bill
7180 Invoice Selling Inventory Created from a Spend Money Form with Assigned Exp
7200 Receive Payment From Invoice & Make Deposit
7220 Write Checks for Expenses & Prepaid Assets
7240 Bill Pay
Excel-Month 1-Enter Transaction for Sale of Inventory, Receive Payment, & Bill
7180 Invoice Created From Check Created From Purchase Order
7200 Receive Payment & Make Deposit
7220 Write Checks for Expenses & Prepaid Assets
7240 Bill Pay
XeroMonth 1- Create Customer Job, Pay Employees, & Create Sales Receipt for job
7260 Projects Set Up
7280 Pay Employees
7300 Enter Billable Time to Projects & Invoice
7310 Assign Expenses to a Customer or Project
Excel-Month 1-Transactions for Payroll & Create Sales Receipt
7280 Pay Employees
7281 Pay Employees Part 2
7300 Enter Billable Time & Add to Invoice
7301 Enter Billable Expenses to Invoice
Xero-Month One Reports
7320 Month One Reports
7325 Bundle Month One reports for a Client
Excel-Month 1-Create Financial Statements
7320 Month One Financial Statements
Xero-Month 2- Enter Loan Payments, Create Amortization Tables, & Investment
8020 Make Amortization Table
8022 Make Loan Payments
8040 Short Term Investment Sales & Gains
8060 Change Account Categorization to Other Expense
Excel-Month 2-Enter Loan Transaction, Create Amortization Table, & Investment
8005 Format Worksheet for New Month
8020 Make Amortization Table
8022 Make Loan Payments
8040 Short Term Investment Sales & Gains
Xero-Month 2- Enter Purchase Order, Sales Receipt, Bill for Inventory
8080 Purchase Order Adding New Items
8120 Receive Money Sales Receipt & Deposit
8122 Record Receipt of Inventory with Bill Linked to P.O.
Excel-Month 2-Enter Sale, Cash Received at Same Time & Bill for Inventory
8120 Sales Receipt & Deposit
8122 Record Receipt of Inventory with Bill Linked to P.O.
Xero-Month 2- Invoice from Billable Item, Advanced Customer Deposit
8130 Populate Invoice Using Information From Purchase Order P.O.
8140 Advanced Customer Payment or Unearned Revenue
8160 Apply Customer Deposit (Credit) to Invoice
8200 Quote or Estimate & Advanced Customer Payment or Unearned Revenue
Excel-Month 2-Invoices for Service Sales & Advanced Customer Deposit
8130 Populate Invoice Using Billable Item That was Created From P.O.
8140 Advanced Customer Payment or Unearned Revenue Method 1
8160 Apply Customer Deposit (Credit) to Invoice
8200 Advanced Customer Payment or Unearned Revenue Method 2
Xero-Month 2- Invoicing for Hourly Service
8320 Bill for Hourly Services of Staff, Set up Items, & Enter Billable Time
8322 Create Invoices for Projects Using Billable Time
Excel-Months 2-Transaction for Billable Time
8320 Bill for Hourly Services of Staff Set up Items & Enter Billable Time
8322 Create Invoices Using Billable Time
Xero-Month 2- Invoicing for Rental Income with Advanced Customer Deposit
8340 Rental Income Set Up Items
8342 Rental Estimate & Customer Deposit
8344 Rental Income Invoice from Estimate or Quote & Customer Credit Applied
Excel-Month 2-Rental Income Transaction & Advanced Customer Deposit
8342 Rental Income Customer Deposit
8344 Rental Income Estimate & Invoice
Xero-Month 2- Purchase & Finance Equipment & Recategorize Fixed Assets
8360 Purchase & Finance Equipment & Organize Multiple Loan Accounts
8362 Organize Fixed Asset Account Categories
Excel-Month 2-Purchase & Finance Equipment
8360 Purchase & Finance Equipment
8362 Subaccounts Categories For Fixed Assets
Xero-Month 2- Enter & Pay Month End Bills & Pay Sales Tax
8365 Bills – Enter, Sort, & Pay
8370 Pay Sales Tax
Excel-Month 2-Enter & Pay Month End Bills & Pay Sales Tax
8365 Bills – Enter, Sort, & Pay
8370 Pay Sales Tax
Xero-Month 2- Enter Payroll & Pay Payroll Tax for Prior Period
8380 Enter Payroll For Second Month
8385 Pay Payroll Taxes
Excel-Month 2-Enter Payroll & Pay Payroll Tax for Prior Period
8380 Enter Payroll For Second Month Part 1
8381 Enter Payroll For Second Month Part 2
8385 Pay Payroll Taxes
Xero-Month 2- Generate Month End Report & Review Work
8420 Create Reports After Second Month of Data Input
Excel-Month 2 Financial Statements
8420 Create Reports After Second Month of Data Input YTD
8421 Create Reports After Second Month of Data Month of February Only
Xero-Bank Reconciliations
9020 Bank Reconciliation Myth Busting
9040 Bank Reconciliation Month One Overview
9060 Bank Reconciliation Month #1 Deposits
9065 Manually Import Bank Data
9080 Bank Reconciliation Month #1 Checks & Cash Decreases
9100 Bank Reconciliation Opening Balance Problem
9120 Bank Reconciliation Reports Month # 1
9140 Bank Reconciliation Month #2 Deposits
9145 Bank Reconciliation Month #2 Checks & Account Decreases
9160 Bank Reconciliation Month #2 Reports
Excel-Bank Reconciliations
9040 Bank Reconciliation Month One Part 1
9041 Bank Reconciliation Month One Part 2
9042 Bank Reconciliation Month One Part 3
9140 Bank Reconciliation Month Two Part 1
9141 Bank Reconciliation Month Two Part 2
9143 Bank Reconciliation Month Two Part 3
Xero-Adjusting & Reversing Entries
10120 Adjusting Entries & Reversing Entries Introduction
10180 Adjusting Entry Accrued Interest
10220 Reversing Entry Accrued Interest
10260 Adjusting Entry Accounts Receivable Sales
10300 Reversing Entry Accounts Receivable Sales
10340 Adjusting Entry Prepaid Insurance
10380 Adjusting Entry Depreciation
10400 Adjusting Entry Unearned Revenue Customer Deposit
10465 Adjusting Entry Loan Payable Short-Term and Long-Term Portions
10467 Reversing Entry Loan Payable Short-Term and Long-Term Portions
10480 Adjusting Entry & Reversing Entry Journal Reports
Excel-Adjusting Entries
10175 Adjust Worksheet for Adjusting Entries
10180 Adjusting Entry Accrued Interest Part 1
10182 Adjusting Entry Accrued Interest Part 2
10220 Reversing Entry Accrued Interest
10260 Adjusting Entry Accounts Receivable Sales
10300 Reversing Entry Accounts Receivable Sales
10340 Adjusting Entry Prepaid Insurance
10380 Adjusting Entry Depreciation
10400 Adjusting Entry Unearned Revenue Customer Deposit
10460 Reversing Entry Unearned Revenue Customer Deposit
10465 Adjusting Entry Loan Payable Short Term & Long-Term Portion
10467 Reversing Entry Loan Payable Short Term & Long-Term Portion
10480 Financial Statements with Every Account
10485 Balance Sheet Condensed Format
10490 Income Statement Condensed Format