- Creating and managing chart of accounts
- Using cost pools
- Managing trust funds
- Managing account registers
- Making deposits in BQE CORE
- Reconciling accounts
- Creating business activity statements
- Transferring funds
- Managing financial budgets
- Creating and managing journal entries
- Managing checks
- Managing purchase orders
- Managing vendor bills
- Setting up recurring bills
- Setting up recurring checks
- Paying vendor bills and employee reimbursables
- Creating ABA files in BQE CORE
- Managing vendor credits
- Managing credit card charges
- Managing cloud feeds
- Managing rules for cloud feeds