HATCHIE HAWK 26.1
F
ile
Dashboard
Company
Backup Company…
Logout
P
rojects
Projects
Plans
Lots
Budget…
Schedule
Buy-Out List
Project To-Do List
Finish Materials
Client Selections
Project Finish Locations
Plan Location Setup
V
endors
Vendors
Vendor Ledger
Bill Folder
Bills
Purchase Orders
Payment Register
C
lients
Clients / Buyers
Invoices / Estimates
A
ccounting
General Journal
Banking
Bank Deposits
Account Transfers
Reconcile Account
Import OFX / QFX
Import History / Log
Regenerate Journal Entries
Pa
y
roll
Employees
Run Payroll
Pay History
Payroll Reports
Tax Filing (W-2)
Tax Tables
Payroll Settings
R
eports
Daily Action Plan
Balance Sheet
Income Statement
Trial Balance
General Ledger Detail
GL Posting Audit
Journal Discrepancy
Bank Transaction Report
Insurance Worksheet
Insurance Audit Worksheet…
Form 1099 Worksheet
Job Cost Report…
Allowance Report…
Client Account Statement…
Lots Held Report
S
etup
Chart of Accounts
Cost Codes
Cost Drivers
Room Templates
Plan Templates
Task Library
Users
Settings
Lots
Plans
Projects
Budget
Vendors
Folder
Bills
P.O.
Payments
Clients
Invoices
Bank
Deposits
Reconcile
Payroll
Schedule
Settings
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© 2026 Steve F Tritt
Version: 26.1