Onboarding into AccountingSuite
Master the complete business cycle using AccountingSuite. Turn operational chaos into accounting clarity.
1C
The Course Mission
The goal of this course is to equip developers and partners of the 1C ecosystem with the tools to turn complex trading operations into clear, actionable financial reports (P&L, Balance Sheet, and Cash Flow).
Month 1
Capital
→
Month 2
Procurement
→
Month 3
Sales
→
Month 4
Collection
What You Will Master:
- Core Operations: Master the Purchasing and Sales cycles, including Inventory tracking by Serial Numbers and Characteristics.
- Local Compliance: Implement VAT logic, Tax Invoices, and automated reporting for the Federal Tax Authority (FTA).
- Financial Intelligence: Interpret P&L, Balance Sheets, and Aging reports to make data-driven decisions.
- Advanced Features: Dive into Landed Costs (Importing), Payroll processing, CRM, and Fixed Asset depreciation.
The "Sandwich" Methodology
Each lesson is architected for deep retention:
- Accounting Logic: The "Why" behind the transaction.
- System Workflow: Step-by-step execution in the software.
- Technical Insight: A look at the underlying Accounting Registers and G/L posting algorithms.
For Developers
Understand how the 1C-based accounting engine processes data, manages multidimensional registers, and ensures data integrity.
For Partners
Learn how to implement AccountingSuite for trading businesses, ensuring local tax compliance and operational efficiency.