Zdoo ManualBook Info
1 About Zdoo
1.1  About Zdoo
1.2  Zdoo Features
1.3  Technical Support
1.4  Zdoo License
2 Install and Upgrade
2.1  ZDOO Installation (for all systems)
2.2  One-click Installation Package for Windows (Recommended)
2.3  One-click Installation Package for Linux
2.4  Upgrade Zdoo
2.5  Zdoo Cloud
2.6  Remove ranzhi from the address
2.7  Data Backup
2.8  Install Ioncube
2.9  Install php-zip
3.1  Basic Workflow
3.2  Add Product
3.3  Add Customer
3.4  Create Order
3.5  Sign Contract
3.6  Manage Contacts
3.7  Manage Lists
3.8  Manage Supplier
3.9  CRM Settings
3.10  CRM Reports
4 OA
4.1  Todo
4.2  Review
4.3  Announcement
4.4  Attendance
4.5  Leave
4.6  Makeup
4.7  Overtime
4.8  Business Trip
4.9  Reimbursement
4.10  Lieu
4.11  Egress
4.12  Holiday
4.13  Settings
5 Cashflow(Cash)
5.1  Introduction
5.2  Basic Settings
5.3  Add Bank Account
5.4  Manage Account
5.5  Keep Account
5.6  Batch keep accounts and import
5.7  Reconciliation
5.8  Report
6 Project (Proj)
6.1  Project Workflow
6.2  Create Project
6.3  Create Task
6.4  Actions in a project
6.5  Action Views
6.6  Actions in a task
7 Document(Doc)
7.1  Introduction
7.2  Create Document Library
7.3  Create Document
8.1  Introduction
8.2  Settings
8.3  Modules
9 Administration
9.1  Settings
9.2  User
9.3  Privileges
9.4  Apps
9.5  Email settings
10 Integration
10.1  Introduction
10.2  Integrate ZenTao
11 Customization
11.1  Get Ready
11.2  Zdoo Directory
11.3  Find the Code
11.4  Database Structure


2016-09-05 13:49:32
Last edited by Renee on 2019-08-12 11:15:39

Zdoo also has a reconciliation module to help you check whether your accounts are correct. Before that, you have to check the balance of your accounts.

1. Check account balance

Go to "CASH"->"Account". Choose an account and click "Balance".

You will see the window shown below.

Click "Check balance" and enter the balance of your account.

2. Reconciliation

Reconciliation is to choose one account or all accounts, and a time frame to check the balance within the time frame. The actual balance should be the balance at the beginning of the time frame plus/minus all the incomes and expenses within the time frame, which equals to the balance at the end of the time frame.

Here is an example.

  1. On the first day of a month, I checked my PayPal account and the balance was 100, and I recorded it in Zdoo.
  2. On the last day of this month, I want to do the reconciliation. I logged in my PayPal and the balance was 200. Then I recorded it in Zdoo.
  3. Then I go to "CASH"->"Reconciliation". It shows there was 5 transaction this month. All the transactions plus 100, the balance at the beginning of this month equals to 200. This means this account has been correctly kept.


When you choose the end date and time of the reconciliation, you can choose "today". Then put the actual balance you got from reconciliation in to "Check balance", if you think the reconciliation is done correctly,

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