1 Journalize the June 2022 transactions from the transactions tab to the general journal tab, using the Chart of Accounts tab.
2 Post the transactions from the general journal tab to the accounts in the general ledger tab.
3 Prepare a trial balance at the trial balance tab using the final debit or credit balances from the general ledger tab.
4 Prepare financial statements at the financial statements tab using the trial balance and the general ledger accounts for Owner’s Equity.