Workflow map
Practice workflow
Books receives client, document, and calendar signals, then turns them into internal support records for close, export, and review.
Books
Journal Entry
Prepare balanced journal support records before posting or exporting them for professional review.
Next best action
Review draft entries before posting
Keep the books lane focused on capture, review, reconciliation, and export. Formal reporting and filing decisions stay outside this workspace.
Cash support
PHP 18,800
Posted cash and bank support records
Posted
2/3
Posted entries compared with total
Revenue support
PHP 25,000
Review-ready posted entries
Review flags
0
Balanced-entry validation items
Entry preparation
Balanced entry draft
Keep debit and credit totals equal before the entry becomes review-ready.
Validation
Before posting
A posted entry should have equal debits and credits, a source label, and a review memo.
Entry remains draft
Context
Support accounts
Compact account structure for operating support records.
| Code | Account | Type | Normal | Status |
|---|---|---|---|---|
| 1000 | Cash on hand | ASSET | DEBIT | Active |
| 1010 | Operating bank account | ASSET | DEBIT | Active |
| 1100 | Client receivables | ASSET | DEBIT | Active |
| 2000 | Practice payables | LIABILITY | CREDIT | Active |
| 3000 | Owner capital | EQUITY | CREDIT | Active |
| 4000 | Service revenue | REVENUE | CREDIT | Active |
Recent activity
Latest support entries
Validation and posting posture stay visible before export.
| Date | Entry | Debit | Credit | Status |
|---|---|---|---|---|
| May 01, 2026 | Client retainer collected for practice operating support. Manual review | PHP 25,000 | PHP 25,000 | POSTED |
| May 02, 2026 | Practice operating software paid from the operating account. Manual review | PHP 6,200 | PHP 6,200 | POSTED |
| May 03, 2026 | Draft client support invoice queued for review before posting. Draft invoice | PHP 18,000 | PHP 18,000 | DRAFT |