Accounting & Financial Management Problems
626 problems reported across 10+ industries
Industries Reporting Accounting & Financial Management Problems
Top App Ideas for Accounting & Financial Management
View allEntityLedger: Multi-Business Books
Multi-Entity Accounting Simplified for Business Owners
TransactionWise Accounting Navigator
Specialized accounting guidance for complex business transactions
ReconAI Close
AI-Powered Bank Reconciliation & Month-End Close Assistant
CloseFlow
Automated Month-End Close for Accountants
Reconciler Pro
Automated multi-source bank reconciliation for bookkeepers
FX-Account Auto
Multi-Currency Accounting for Small US Businesses
Accounting & Financial Management Problems(page 31 of 32)
TaxTreat
A bookkeeper is unable to find a specific accounting standard that requires including sales tax in the total expense for non-inventory, non-asset purchases like office supplies.
BizAcquire Ledger
The user needs guidance on properly recording the purchase of a new business in their accounting system, specifically how to allocate purchase price to different asset categories.
Transaction Reversal Pro
User needs to properly categorize a cash withdrawal and subsequent redeposit to avoid misrepresenting vendor payments in accounting records.
ReceiptSnap Pro
Manual bookkeeping requires handling paper receipts and invoices, creating uncertainty about document retention after data entry.
AutoFlow Advisor
The business owner is overwhelmed by the many accounting automation options available and doesn't know which ones would provide meaningful value for their QuickBooks Online setup.
TransactionFlow Pro
The worker manually enters daily transactions individually without bank feeds, requiring time-consuming data entry and vendor documentation in description lines.
AutoRecon Lite
Small business owners struggle to maintain regular account reconciliation during busy periods.
VarianceFlow Accounting
The accountant is confused about how to properly allocate significant material usage variances between work-in-progress inventory and cost of goods sold in external financial statements.
InterClassify Pro
An accountant or financial analyst struggles with properly classifying and accounting for unusual intercompany transactions and assets on balance sheets.
LedgerFlow Auto-Entry
Manual journal entry and ledger posting is tedious and boring, making accounting tasks feel unsustainable.
FlowEase Pro
Accountants find certain workflows in accounting tedious and annoying, seeking to automate or streamline them.
LedgerLite Pro
QuickBooks desktop version is expensive and the online version lacks the functionality of the old desktop version.
NetSuite Navigator Pro
A user needs help finding tutorials or guidance for performing month-end reconciliation in NetSuite.
BookkeepEase
Small business owner confused about negative COGS in QuickBooks Online, likely due to incorrect accounting entries by themselves.
ReconFlow
Bookkeepers need to reconcile QuickBooks Online transactions when clients use credit cards for purchases but receive income via bank account, all on cash basis for ecommerce.
OnboardFlow for Bookkeepers
Help clients set up QuickBooks Online including creating chart of accounts without clear understanding of standard onboarding workflow
CreditFlow for QuickBooks
A user is confused about how to properly record payment credits from QuickBooks Online that appear as deposits in bank statements, specifically unsure where to create these entries in the software.
PettyBatch Pro
Accountant wants to batch multiple petty cash receipts into a single journal entry to save time on data entry.
Nonprofit Merge Pro
A bookkeeper is frustrated with having to manage two separate QuickBooks Online files for a single 501c3 organization, which creates extra work and reconciliation hassle.
EquityTracker Pro
Needs best practice for setting up equity accounts in QuickBooks for two shareholders with separate APIC and distribution tracking, frustrated by lack of sub-account support compared to previous industry-specific software.