Accounting & Financial Management Problems
659 problems reported across 10+ industries
Industries Reporting Accounting & Financial Management Problems
Top App Ideas for Accounting & Financial Management
View allMergeQBO for Nonprofits
Merge QuickBooks Online files for nonprofits
DedupliCheck Pro
Automated duplicate transaction detection for bookkeepers
ReconAI Close
AI-Powered Bank Reconciliation & Month-End Close Assistant
LedgerLite
Affordable Accounting Alternative for Small Business Owners
ReconFix AI
Auto-reconcile past errors without manual cleanup
EntrySmith
AI-powered invoice-to-journal entry automation with client collaboration
Accounting & Financial Management Problems(page 18 of 33)
ImportCost Pro
The business owner struggles to accurately record all import-related costs in Tally Prime to determine the true landed cost of imported goods.
LedgerFlow
Accountants are dissatisfied with QuickBooks Online and actively seeking a suitable replacement, but no clear alternative has been recommended.
PurchaseSync
Business owner struggles to automate reconciliation of eBay purchase orders into accounting software like Xero, lacking invoices and relying on manual data entry.
ARClean Pro
A new bookkeeper at a small corporation is struggling to clean up old accounts receivable records, lacking clear starting points and effective methods to match old deposits to invoices in QuickBooks Online.
CardSync Pro for Xero
Managing parent/child credit card relationships in Xero accounting software requires complex manual reconciliation work that doesn't have a built-in solution.
InKindValue Pro
Nonprofit struggles to apply GAAP for in-kind sponsorship agreements, particularly determining and proving fair market value for sponsor recognition and exposure.
ChangeBridge Ops
Operations accounting staff resist adopting Excel automation, insisting on manual calculations with a physical calculator despite the process taking 2 hours instead of seconds.
MapleTax Pro
Canadian accounting firms need software with Canadian tax filing intuition that is specifically targeted to their market.
ReconcileFlow Pro
Monthly bank reconciliations in Excel are time-consuming with repetitive steps and slow exception review.
ReconFlow
QuickBooks keeps changing their reconciliation screen, causing frustration and lost time for bookkeepers under client pressure.
FundFlow Clear
A bookkeeper needs to properly record business purchases made from an owner's personal account in QuickBooks Online, which doesn't allow selecting liability accounts for expense entries.
QuickBooks LaunchPad
A new business owner lacks bookkeeping experience and needs step-by-step guidance on setting up and using QuickBooks Online from the very beginning.
InvoiceAutoSync
User needs to automate invoice data extraction and entry into QuickBooks Online to eliminate manual data entry.
QuickBooks CleanFlow Assistant
QuickBooks user cannot clear undeposited funds account despite reviewing the system, preventing proper financial cleanup before tax filing.
CleanBooks Guardian
A bookkeeper struggles with a client who consistently creates accounting messes in QuickBooks Online, requiring extra time to fix errors like negative balance sheets due to unreconciled transactions and poor cash flow management.
PrivacyFirst Books
QuickBooks forces users to link bank accounts to view transactions, requiring manual data entry for those who prefer privacy.
CIPFlow Recon
Construction in Progress (CIP) account reconciliation across 18 locations using a manually-built, poorly organized Excel spreadsheet that fails to clearly track active CIP vs. capitalized invoices.
QBO Merge Wizard
A bookkeeper needs to merge two separate QuickBooks Online files for a 501c3 client, one for daily accounting and one for payroll, while the client only knows one password and the process is unfamiliar.
Settlement Splitter for Wave
Bookkeeper struggles to record gross income and deductions from trucking settlement statements when only net pay hits the bank account, seeking a clean journal entry method.
EntityFlow Ledger
Accountant needs to set up QuickBooks for a client who owns rentals personally but has bookkeeping split across an S-corp and a disregarded LLC, and is unsure whether to use one file or separate files.