Module 2 – Entering Transactions
This module equips learners with practical skills to confidently manage day-to-day financial entries in GnuCash. Participants will learn how to set up their books with proper opening balances, and handle complex split transactions . The module also introduces smart documentation techniques like adding notes and linking receipts or invoices to transactions, enhancing transparency and audit readiness.
Finally, learners will dive into account reconciliation, ensuring their records align accurately with bank statements and other financial sources.
