Introduction and overviewCash versus accrual-based accountingCash versus accrual in relation to MYOBLinked accountsBank Register and Transaction JournalCreating a Spend Money entryCreating a recurring transactionReceiving moneyUsing the Undeposited Funds account and preparing a bank depositPreparing electronic paymentsPrinting chequesPrinting or emailing remittance advicesBank reconciliationHow to do a bank reconciliationWhat is an audit trail, and why is it important?Use the owner's loan account to monitor the owner's spending