USER MANUAL
Nano Ledger user manual
A practical overview of bookkeeping flows: accounts, entries, reports, and reconciliation.
Core workflows
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Register transactions with balanced debit and credit lines and clear account references.
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Track journal entries, balances, and periods so reporting stays consistent over time.
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Run income statements, balance sheets, and reconciliation against bank or sub-ledgers.
Recommended onboarding
- 1 Create or import your chart of accounts.
- 2 Set periods and ledger settings, then post your first transaction.
- 3 Verify balances and reports before expanding to more accounts or integrations.
Quick tips
Start with a small chart of accounts, validate one full posting cycle, then scale imports and automation.