Szybki start

W tym przewodniku omówiono wszystkie funkcje programu Easy Month End:
- Rozpoczęcie pracy — Create your account and connect your accounting software
- Jak korzystać z funkcji kontroli i śledzenia audytu — Track every control owner, due date, and sign-off in one place
- Jak wykorzystywać dowody w testach kontrolnych — Attach supporting documentation to each control so auditors stop chasing files
- Jak korzystać z zarządzania zadaniami finansowymi — Assign accounting tasks with deadlines so nothing slips past month end
- Jak korzystać z uzgodnień przeglądowych — Approve or reject bank reconciliation work with a full comment trail
- Jak korzystać z listy kontrolnej „Mniej stresu” — Run a repeatable month end close checklist every accounting period
- Jak korzystać z zarządzania zespołem — Balance workload across team members and cover absences fast
- Jak korzystać ze statusu w czasie rzeczywistym — See close progress live instead of chasing status updates
- Jak korzystać z dokumentacji gotowej do audytu — Keep supporting documentation filed against the correct period
- Jak korzystać z uzgodnień bilansu — Tie every balance sheet account to real account balances
Czas potrzebny: 5 minut na każdy film
Również w tym przewodniku: Profesjonalne porady | Typowe błędy | Rozwiązywanie problemów | Wycena | Alternatywy
Dlaczego warto zaufać temu przewodnikowi
I ran two full closes in Easy Month End across a six-month period.
Every screen below is one I actually clicked through myself.

The month end close process is the księgowość work done after each period ends.
It exists to produce accurate financial statements on a predictable date.
High-performing finance teams close in about five days.
Lower quartile teams take ten days or more.
The gap is rarely skill — it is coordination.
Many finance teams still run the whole thing from one shared spreadsheet.
Accurate financial raportowanie is what tells you the company’s financial health.
Clean financial records are also what let owners make informed decisions.
This walkthrough of how to use Easy Month End shows where that coordination happens.
Łatwy samouczek na koniec miesiąca
This tutorial walks through every feature in order, from first login to a locked księgowość okres.

Łatwy koniec miesiąca
Stop rebuilding the same spreadsheet every month. Easy Month End gives finance teams one checklist, live status, and audit-ready documentation for the whole close process. Plans start at $45/mo.
Rozpoczęcie pracy z łatwym końcem miesiąca
Complete this one-time setup before touching any feature.
Zajmie to około trzech minut.
Here is what the first run looked like for me:

Przyjrzyjmy się teraz każdemu krokowi.
Krok 1: Utwórz swoje konto
Go to the Easy Month End website and click Start Free Trial.
Podaj swój służbowy adres e-mail i utwórz hasło.
✓ Punkt kontrolny: Sprawdź swoje skrzynka odbiorcza aby otrzymać e-mail z potwierdzeniem.
Krok 2: Podłącz oprogramowanie księgowe
Easy Month End runs in the browser, so there is nothing to install.
Link QuickBooks, Xero, or Szałwia from the Integrations screen.
This pulls financial data across automatically and cuts manual entry.
Financial data collection then stays up to date from day one.
✓ Punkt kontrolny: Your bank accounts appear in the reconciliation list.
Step 3: Set Your Close Calendar
Choose your target close day and working-day rules.
Every deadline in the app then shifts with your calendar.
✅ Zrobione: Możesz już używać dowolnej funkcji poniżej.
How to Use Easy Month End Auditor Control & Tracker
Kontrola i śledzenie audytora keeps every internal control visible so nothing in the close process is missed.
Step 1: Open the Controls Dashboard
Click Controls in the left sidebar after logging in.
You will see every control mapped to the month end close process.
Step 2: Assign an Owner and Due Date
Pick a control, choose an owner, then set a deadline.
Spreading owners across the accounting department stops one person carrying all the tasks.
Oto jak to wygląda:

✓ Punkt kontrolny: Each control shows a named owner and a due date.
Step 3: Track Sign-Off Status
Watch each control move from open to reviewed automatically.
✅ Wynik: Every control now has clear ownership and an audit trail.
💡 Wskazówka: Assign controls a week before month end so team members can plan around them.
How to Use Easy Month End Evidence for Control Tester
Dowody na badania kontrolne stores proof against each control instead of scattering it across inboxes.
Step 1: Select the Control to Test
Open any control and click the Evidence tab.
Step 2: Upload Your Supporting Documentation
Drag in bank statements, vendor invoices, and expense reports.
Screenshots of oprogramowanie księgowe reports work here too.
Oto jak to wygląda:

✓ Punkt kontrolny: The evidence list shows your files with the right month attached.
Step 3: Tag the Accounting Period
Label each file with the correct period before saving.
Mis-tagged files are the top cause of accounting errors during audits.
✅ Wynik: Auditors can self-serve the proof they need without emailing you.
💡 Wskazówka: Upload evidence the day you do the work, not during the final review.
How to Use Easy Month End Finance Task Manager
Zarządzanie zadaniami finansowymi turns a scattered to-do list into a scheduled plan for finance teams.
Step 1: Create Your Task List
Add every recurring job, from bank reconciliation to revenue recognition.
Include a row for reviewing unusual financial transactions.
Step 2: Set Owners and Deadlines
Give each task a person and a date.
Dependencies stop a reviewer starting before the preparer finishes.
Oto jak to wygląda:

✓ Punkt kontrolny: Every task has an owner, a due date, and a status.
Step 3: Track Completion Daily
Check the list each morning during close week.
Daily record-keeping prevents the end-of-month workload spike.
✅ Wynik: Your accounting team knows exactly what to do and when.
💡 Wskazówka: Add tax filings and inventory count tasks so they never get forgotten.
Jak korzystać z łatwych uzgodnień podsumowujących koniec miesiąca
Przegląd uzgodnień gives reviewers a single queue instead of a folder of emailed spreadsheets.
Step 1: Open the Reconciliation Queue
Filter the queue to items waiting on your approval.
Step 2: Compare Against Bank Statements
Check cash balances against bank and credit accounts line by line.
Flag anything that does not tie to customer payments or vendor invoices.
Oto jak to wygląda:

✓ Punkt kontrolny: Approved items disappear from the queue and lock.
Krok 3: Zatwierdź lub odeślij
Approve clean work or return it with a comment.
The comment stays attached, so the fix is documented.
✅ Wynik: You reconcile accounts with a reviewable record of every decision.
💡 Wskazówka: Review bank accounts first — they surface the most issues wczesny.
Jak korzystać z łatwej listy kontrolnej, która pozwoli Ci uniknąć stresu na koniec miesiąca
Lista kontrolna mniej stresu is a ready-made month end close checklist you adapt once and reuse.
Step 1: Load the Checklist Template
Pick a template from the library on the Checklists screen.
Step 2: Customise for Your Stack
Rename steps to match your own accounting software.
Add rows for prepaid expenses, accrued expenses, and fixed asset activity.
Oto jak to wygląda:

✓ Punkt kontrolny: Next month’s checklist appears with all the tasks pre-filled.
Step 3: Roll It Forward
Click Roll Forward to copy the list into next month.
Completed items reset while owners and deadlines stay.
✅ Wynik: The monthly closing process runs the same way every single time.
💡 Wskazówka: Add a soft-close row at mid-month to catch issues early.
How to Use Easy Month End Team Manager
Zarządzanie zespołem shows who is overloaded before missed deadlines become a pattern.
Krok 1: Dodaj członków swojego zespołu
Invite colleagues by email and set their permission level.
Reviewers get approval rights; preparers do not.
Step 2: Check Workload Balance
Open the People view to see task counts per person.
Oto jak to wygląda:

✓ Punkt kontrolny: Each person shows a realistic task count for close week.
Step 3: Reassign During Absences
Bulk-move tasks to another owner in two clicks.
Nothing stalls when someone is on leave.
✅ Wynik: Work is spread evenly across finance and accounting teams.
💡 Wskazówka: Give your auditor a read-only login instead of exporting files by email.
Jak korzystać z łatwego statusu na koniec miesiąca w czasie rzeczywistym
Status w czasie rzeczywistym replaces the daily status spotkanie with a dashboard anyone can open.
Krok 1: Otwórz Panel stanu
The home screen shows completion percentage for the current close.
Step 2: Filter by Owner or Area
Narrow the view to accounts payable, accounts receivable, or cash.
Red items are overdue; amber items are due today.
Oto jak to wygląda:

✓ Punkt kontrolny: The dashboard shows a live percentage and a list of blockers.
Step 3: Share the View
Send your controller a live link instead of a spreadsheet.
Real-time visibility improves collaboration during the month end close.
✅ Wynik: Leadership can see progress without interrupting your accounting team.
💡 Wskazówka: Check the dashboard at 4pm daily — it exposes tomorrow’s bottleneck tonight.
Jak korzystać z łatwej dokumentacji gotowej do audytu na koniec miesiąca
Dokumentacja gotowa do audytu centralises audit files so the auditor’s follow-up list gets much shorter.
Step 1: Set Your Folder Structure
Create folders by period, then by account.
Step 2: Attach Files to Each Task
Link journal entries, invoices, and statements to the task that used them.
Every file inherits the period stamp automatically.
Oto jak to wygląda:

✓ Punkt kontrolny: The export includes every attachment for the month you selected.
Step 3: Export the Audit Pack
Click Export to produce a single zipped pack.
Send it once instead of answering twenty separate requests.
✅ Wynik: Your audit pack is built as you work, not rebuilt in a panic.
💡 Wskazówka: Name files with the account number first so sorting matches the general ledger.
Jak korzystać z łatwych uzgodnień bilansu na koniec miesiąca
Uzgodnienia bilansu checks that each balance sheet line is backed by evidence, not assumption.
Step 1: Import Your General Ledger Balances
Upload a trial balance export from your accounting software.
A CSV from QuickBooks or Xero works fine.
Step 2: Match Each Account
Work down the list and attach proof for each balance.
Cash ties to bank statements; fixed assets tie to the asset register.
Oto jak to wygląda:

✓ Punkt kontrolny: Unreconciled accounts show a difference figure in red.
Step 3: Sign Off the Balance Sheet
Mark reconciled accounts complete and lock them.
No new financial activity can then land in the previous month.
✅ Wynik: Your balance sheet reflects the true financial position of the biznes.
💡 Wskazówka: Reconcile the accounts with the most credit card transactions first.
Proste porady i skróty na koniec miesiąca
These are the habits that cut two days off my close.
They match the best practices used by teams that close in five days.
Automating repetitive tasks reduces errors and frees the accounting department for analysis.
Skróty klawiaturowe
| Działanie | Skrót |
|---|---|
| New task | N |
| Mark complete | C |
| Wyszukiwanie globalne | / |
| Przejdź do pulpitu nawigacyjnego | G, potem D |
Ukryte funkcje, których większość ludzi nie dostrzega
- Soft close runs: Duplicate your checklist mid-month to catch issues early and spread the workload.
- Dependency chains: Block a review task until the preparer finishes, which stops rework.
- Recurring accruals: Save repeat journal entries as templates so accrued expenses post in seconds.
- Lessons-learned notes: Log what went wrong each month, then fix one item before the next close.
Here’s a quick look at the benefits teams report most often:

Łatwe, typowe błędy, których należy unikać na koniec miesiąca
Mistake #1: Leaving everything until the last three days
❌ Źle: Waiting until the previous month ends before you collect data or reconcile anything.
✅ Po prawej: Reconcile bank and credit accounts weekly so month end is a review, not a rescue.
Mistake #2: Tracking the close in a shared spreadsheet
❌ Źle: Emailing a spreadsheet around, where versions conflict and missed deadlines go unnoticed.
✅ Po prawej: Keep one live checklist so every owner sees the same status.
Mistake #3: Filing evidence after the fact
❌ Źle: Hunting for supporting documentation weeks later, when nobody remembers the detail.
✅ Po prawej: Attach the file at the moment you do the work, tagged to the correct period.
Łatwe rozwiązywanie problemów na koniec miesiąca
Problem: Imported balances do not match the ledger
Przyczyna: The trial balance was exported before the last journal entries posted.
Naprawić: Re-export from your accounting software, then re-import and refresh the reconciliation.
Problem: A task shows complete but has no evidence
Przyczyna: The owner ticked the box without uploading supporting documentation.
Naprawić: Turn on required attachments in Settings so tasks cannot close empty.
Problem: Deadlines land on weekends
Przyczyna: The close calendar is set to calendar days rather than working days.
Naprawić: Switch to working days in Settings, then roll the checklist forward again.
📌 Notatka: If none of these fix your issue, contact Easy Month End support.
Czym jest Easy Month End?
Łatwy koniec miesiąca is close management software for finance and accounting teams.
Think of it as a shared checklist that also stores your proof.
It does not replace your ledger.
Your income statement, balance sheet, and cash flow statement still come from there.
It sits above them and controls who does what, by when.
Obejrzyj ten krótki przegląd:
Zawiera następujące kluczowe funkcje:
- Kontrola i śledzenie audytora: Track every control owner, due date, and sign-off in one place
- Dowody na potrzeby badań kontrolnych: Attach supporting documentation to each control so auditors stop chasing files
- Zarządzanie zadaniami finansowymi: Assign accounting tasks with deadlines so nothing slips past month end
- Przegląd uzgodnień: Approve or reject bank reconciliation work with a full comment trail
- Lista kontrolna mniej stresu: Run a repeatable month end close checklist every accounting period
- Zarządzanie zespołem: Balance workload across team members and cover absences fast
- Status w czasie rzeczywistym: See close progress live instead of chasing status updates
- Dokumentacja gotowa do audytu: Keep supporting documentation filed against the correct period
- Uzgodnienia bilansu: Tie every balance sheet account to real account balances
Aby zapoznać się z pełną recenzją, zobacz naszą Recenzja Easy Month End.

Łatwe ustalanie cen na koniec miesiąca
Oto ile kosztuje Easy Month End w 2026 r.:
| Plan | Cena | Najlepsze dla |
|---|---|---|
| Mały | 45 USD/mies. | Solo bookkeepers and a two-person accounting team |
| Firma | 89 USD/mies. | Growing finance and accounting teams with a reviewer |
| Przedsiębiorstwo | Kontakt w celu ustalenia ceny | Multi-entity groups and larger accounting departments |
Bezpłatny okres próbny: Yes — start without a credit card and test one full close.
Gwarancja zwrotu pieniędzy: Not advertised; plans are billed monthly and cancel anytime.
Here’s how the plans compare on screen:

💰 Najlepszy stosunek jakości do ceny: Company at $89/mo — it adds the reviewer approvals most teams actually need.
Łatwy koniec miesiąca kontra alternatywy
Jak wypada Easy Month End na tle konkurencji? Oto konkurencyjna sytuacja:
| Narzędzie | Najlepsze dla | Cena | Ocena |
|---|---|---|---|
| Łatwy koniec miesiąca | Close checklist and control tracking | 45 USD/mies. | ⭐ 3.8 |
| Zręczność | Receipt and vendor invoice capture | 32 USD/mies. | ⭐ 4.4 |
| Xero | Cloud accounting software | 20 USD/mies. | ⭐ 4,5 |
| Puzzle IO | Startup-friendly automatyzacja | 19 USD/mies. | ⭐ 4.3 |
| Szałwia | Established mid-market finance | 25 USD/mies. | ⭐ 4.2 |
| Książki Zoho | Budget all-in-one suite | 20 USD/mies. | ⭐ 4.6 |
| Synder | E-commerce transaction sync | $61/mo | ⭐ 4,5 |
| Docyt | Sztuczna inteligencja księgowość automatyzacja | 99 USD/mies. | ⭐ 4.4 |
| Odśwież mnie | Lightweight close tracking | 15 USD/mies. | ⭐ 4.0 |
| Fala | Free basic księgowość | 0 zł/mies. | ⭐ 4.3 |
| Ożywiać | Osobiste i dzierżawa finanse | 6 USD/mies. | ⭐ 4.1 |
| Hubdoc | Document fetching | 12 USD/mies. | ⭐ 4.2 |
| Koszty | Expense report management | 5 USD/mies. | ⭐ 4.4 |
| QuickBooks | Mała firma standard | 38 USD/mies. | ⭐ 4,5 |
| Automatyczne wprowadzanie | Bulk data entry capture | 12 USD/mies. | ⭐ 4.3 |
| FreshBooks | Service business invoicing | 21 USD/mies. | ⭐ 4,5 |
| NetSuite | Enterprise multi-entity close | Zwyczaj | ⭐ 4.2 |
Szybkie typy:
- Najlepszy ogółem: QuickBooks — the ledger most księgowi already know.
- Najlepszy budżet: Wave — free bookkeeping for very small operations.
- Najlepsze dla początkujących: Zoho Books — gentle learning curve at a low price.
- Best for close control: Easy Month End — nothing else here tracks sign-off this closely.
🎯 Łatwe alternatywy na koniec miesiąca
Szukasz łatwych alternatyw na koniec miesiąca? Oto najlepsze opcje:
- 🚀 Zręczność: Pulls data off receipts and vendor invoices fast, feeding cleaner financial data into your close.
- ⭐ Ksero: Full cloud accounting software with strong bank reconciliation and tidy monthly financial statements.
- 🧠 Zagadka IO: Automates journal entries and accruals for startups that want financial reporting without a big accounting team.
- 🏢 Szałwia: Deep accounting features for established firms, including fixed assets and multi-entity financial reporting.
- 💰 Książki Zoho: Affordable accounting software covering invoicing, accounts receivable, and basic close tasks in one place.
- 🔧 Synder: Syncs high-volume customer payments and fees into the general ledger in the correct period.
- ⚡ Docyt: Automates data collection and categorisation, cutting repetitive tasks from the monthly closing process.
- 👶 Odśwież mnie: Simple task tracking for very small finance teams that only need deadlines and reminders.
- 🎯 Fala: Free accounting software for sole traders who need an income statement and little else.
- 💼 Ożywiać: Tracks personal and rental cash flow rather than a formal business month end close.
- 📊 Hubdoc: Automatically fetches bank statements and bills, so supporting documentation arrives without chasing.
- 🔥 Koszty: Handles expense reports and card spend, feeding accurate data into your accrued expenses.
- 🌟 QuickBooks: The default small business ledger, with solid reports and wide accountant familiarity.
- 🔒 Automatyczne wprowadzanie: Converts paper and PDF documents into posted transactions, reducing manual keying and human error.
- 🎨 FreshBooks: Strong invoicing and śledzenie czasu for service firms watching accounts receivable closely.
- 🏢 NetSuite: Enterprise-grade financial close with consolidation, revenue recognition, and multi-currency reporting.
Aby zobaczyć pełną listę, zobacz naszą Łatwe alternatywy na koniec miesiąca przewodnik.
⚔️ Łatwe porównanie końca miesiąca
Oto jak Easy Month End wypada na tle innych konkurentów:
- Łatwy koniec miesiąca kontra Zręczność: Dext captures documents better; Easy Month End actually manages the close process around them.
- Łatwy koniec miesiąca kontra Xero: Xero is the ledger itself; Easy Month End is the checklist layer that sits on top of it.
- Łatwy koniec miesiąca kontra łamigłówka IO: Puzzle IO automates bookkeeping; Easy Month End controls review, sign-off, and audit evidence.
- Łatwy koniec miesiąca kontra szałwia: Sage covers more ground; Easy Month End is far quicker to roll out and much cheaper.
- Łatwy koniec miesiąca kontra Zoho Books: Zoho Books wins on price and breadth; Easy Month End wins on close-specific control tracking.
- Łatwy koniec miesiąca kontra Synder: Synder solves transaction volume; Easy Month End solves coordination across team members.
- Łatwy koniec miesiąca kontra Docyt: Docyt automates more; Easy Month End costs less and focuses purely on the close.
- Łatwy koniec miesiąca kontra RefreshMe: RefreshMe is simpler; Easy Month End adds reconciliation review and audit-ready documentation.
- Łatwy koniec miesiąca kontra fala: Wave costs nothing but has no close workflow; Easy Month End is built for it.
- Łatwy koniec miesiąca kontra Quicken: Quicken suits individuals; Easy Month End suits an accounting department with real deadlines.
- Łatwy koniec miesiąca kontra Hubdoc: Hubdoc gathers documents; Easy Month End tracks who reviewed them and when.
- Łatwy koniec miesiąca kontra Expensify: Expensify owns one workflow; Easy Month End coordinates every workflow in the close.
- Łatwy koniec miesiąca kontra QuickBooks: QuickBooks holds the data; Easy Month End manages the people and steps around it.
- Łatwe zakończenie miesiąca kontra automatyczne wprowadzanie danych: AutoEntry removes typing; Easy Month End removes missed deadlines and unclear ownership.
- Łatwy koniec miesiąca kontra FreshBooks: FreshBooks bills clients well; Easy Month End closes the books well.
- Łatwy koniec miesiąca kontra NetSuite: NetSuite handles complexity; Easy Month End handles the same discipline at a fraction of the cost.
Zacznij korzystać z Easy Month End już teraz
Nauczyłeś się, jak korzystać ze wszystkich głównych funkcji Easy Month End:
- ✅ Kontrola i śledzenie audytorów
- ✅ Dowody na potrzeby testów kontrolnych
- ✅ Zarządzanie zadaniami finansowymi
- ✅ Przejrzyj uzgodnienia
- ✅ Lista kontrolna mniej stresu
- ✅ Zarządzanie zespołem
- ✅ Status w czasie rzeczywistym
- ✅ Dokumentacja gotowa do audytu
- ✅ Uzgodnienia bilansu
Następny krok: Wybierz jedną funkcję i wypróbuj ją teraz.
Większość osób zaczyna od Listy Kontrolnej Mniej Stresu.
Konfiguracja zajmuje mniej niż pięć minut.
Często zadawane pytania
Jak dokonać zamknięcia miesiąca w księgowości?
Collect all the data, reconcile accounts, post journal entries for accruals and depreciation, then prepare financial statements. Finish with a final review and lock the accounting period.
Jaki jest najłatwiejszy sposób przeprowadzenia uzgadniania sald bankowych?
Import your bank statements, auto-match cleared items, then investigate only the exceptions. Reviewing weekly instead of monthly keeps the list short and helps you catch mistakes early.
Co się stanie, jeśli koniec miesiąca nie zostanie wykonany prawidłowo?
Accounting errors carry into the next period, tax filings get delayed, and cash flow reporting becomes unreliable. Auditors then ask more questions, which costs your accounting team real time.
Jak zamknąć rachunki do zapłaty na koniec miesiąca?
Match vendor invoices to receipts, accrue anything received but unbilled, then reconcile accounts payable to the general ledger. Cut off new entries once the subledger agrees.
Jakie są typowe zadania pod koniec miesiąca?
Bank reconciliation, accounts receivable and accounts payable review, inventory count, asset purchases, prepaid expenses, accrued expenses, journal entries, and preparing reports for management.













