1. Question: Which of the following does the client-ready 941/940 report not show?

    A
    Wages

    B
    Tax payments

    C
    Payroll expenses

    D
    Accrued taxes

    Note: Answer not sure
    1. Report
  2. Question: Which of the following statements is true?

    A
    You can create the accountant's copy file using QuickBooks Simple Start.

    B
    You can use the Premier Accountant Edition to work on the accountant's copy.

    C
    Files are created in Enterprise Solutions.

    D
    The accountant's copy files are backwards compatible between 2007 and 2008.

    E
    The portable company files are backwards compatible between versions 2008 and 2006.

    Note: Answer not sure
    1. Report
  3. Question: Why do you need to use the Receive Payments feature in Customers rather than book receipts directly to the bank?

    A
    It serves the same purpose as a deposit in Banking

    B
    In order for it to reflect on the customer's account

    C
    Because of the limited functionality of Quickbooks

    Note: Answer not sure
    1. Report
  4. Question: Which of the following transactions will appear as Accounts Receivable on a cash-basis balance sheet?

    A
    Finance charges on overdue invoices

    B
    Inventory held on consignment

    C
    Payments received as deposits on future projects

    D
    Refund checks for inventory returns applied against credit memos

    Note: Answer not sure
    1. Report
  5. Question: When clients have customers who are also vendors, what is the best way to offset accounts payable against accounts receivable?

    A
    Use the QuickBooks trade-off feature

    B
    Create a bank account through which you can clear the payable and the receivable

    C
    Use a single journal entry

    D
    Use multiple journal entries

    Note: Answer not sure
    1. Report
  6. Question: Under which of these circumstances would a Journal Entry be most appropriate?

    A
    While expensing the monthly prepaid expenses

    B
    While entering a new invoice

    C
    While giving a customer a credit

    D
    While giving a customer a credit

    Note: Answer not sure
    1. Report
  7. Question: To which of the following items you cannot assign the units of measure?

    A
    Discount

    B
    Group

    C
    Service

    D
    Inventory Assembly

    Note: Answer not sure
    1. Report
  8. Question: If a payment has been made out of the wrong bank account but the check has not yet been printed, what is the best way to correct it in Quickbooks?

    A
    Go to the transaction in the wrong account, click on it, and change the bank account in the selection box.

    B
    Delete the transaction and re-enter it

    C
    Print the check, put a stop payment on it at the bank, and shred it

    D
    Print the check and mail it to the customer, and let it be figured out in the bank reconciliation process

    Note: Answer not sure
    1. Report
  9. Question: Which report(s) could you run to see the reversing journal entry QuickBooks makes when voiding a check from a prior period without affecting the prior period financials?

    A
    Adjusting journal entries

    B
    Transaction journal

    C
    Prior period changes

    D
    Voided checks

    Note: Answer not sure
    1. Report
  10. Question: Which of the following can be used to enter opening balances in QuickBooks?

    A
    Journal entries

    B
    Forms

    C
    Lists

    D
    All of these

    Note: Answer not sure
    1. Report
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