102 - Advanced Accounting
This folder contains all of the articles that will help on how to handle the advanced Accounting tasks.
Sometimes an Agent might make a payment as Check in EZLynx when it should have been an EFT payment. To correct this in QuickBooks and EZLynx without reversi...
Thu, 2 May, 2019 at 1:23 PM
If a receipt is added to a deposit and finalized, but the receipt is later reversed, then the Deposit Total & Receipt Total for that deposit won't m...
Mon, 15 Apr, 2019 at 4:56 PM
This workflow enables a user to handle carriers that group multiple direct bill sweeps onto a single transaction in the agency's bank account. ...
Wed, 10 Mar, 2021 at 5:58 PM
Create a Deposit At the start of each deposit period, an admin will create a deposit. This provides a place for other accounting users to add payments a...
Thu, 4 Apr, 2019 at 2:48 PM
Agencies either receive downloaded commission statements from carriers, or manually enter their direct bill commission statements into EZLynx Management Sys...
Mon, 13 May, 2019 at 4:57 PM
Use EZLynx Accounting to create checks which are any records of agency payments to carriers, customers and producers. Journal entries are created in EZLynx,...
Wed, 10 Mar, 2021 at 5:59 PM
Having access to a daily check summary is important. The Check Detail Report is used to print a check summary when the information won’t fit on a check stub...
Thu, 4 Apr, 2019 at 2:59 PM
EZLynx Accounting reports are accessed by hovering over the accounting icon and choosing Reporting. Each report can be exported to Excel for sorting and fil...
Thu, 4 Apr, 2019 at 3:06 PM
In Accounting, the Payable Worklist is where you will be able to view all of the Commissions Payable to your Producers in EZLynx. The Payable Worklist will ...
Thu, 4 Apr, 2019 at 3:08 PM
To assist with maintaining the office’s cash flow, you can print a deposit summary. From Deposits, locate check. Click Select in the Actions column, then...
Thu, 4 Apr, 2019 at 3:09 PM