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Transaction List with Splits

112 transactions · 2026-01-01 – 2026-09-27

DateType# NameMemoAccountSplit Amount
2026-01-01 Expense — — Studio rent Rent & Lease Business Checking $2,200.00
6300 Rent & Lease $2,200.00
1010 Business Checking ($2,200.00)
2026-01-05 Expense — — Advertising & Marketing Advertising & Marketing Business Checking $1,172.00
6000 Advertising & Marketing $1,172.00
1010 Business Checking ($1,172.00)
2026-01-08 Expense — — Software & Subscriptions Software & Subscriptions Business Checking $420.00
6400 Software & Subscriptions $420.00
1010 Business Checking ($420.00)
2026-01-14 Deposit — — Online sales — Jan Business Checking Sales $4,176.00
1010 Business Checking $4,176.00
4000 Sales ($4,176.00)
2026-01-20 Expense — — Product / materials Cost of Goods Sold Business Checking $4,385.00
5000 Cost of Goods Sold $4,385.00
1010 Business Checking ($4,385.00)
2026-01-22 Expense — — Card processing fees Uncategorized Expense Business Checking $424.00
6900 Uncategorized Expense $424.00
1010 Business Checking ($424.00)
2026-01-25 Expense — — Shipping & supplies Uncategorized Expense Business Checking $300.00
6900 Uncategorized Expense $300.00
1010 Business Checking ($300.00)
2026-01-28 Deposit — — Customer deposits — Jan Business Checking Sales $10,440.00
1010 Business Checking $10,440.00
4000 Sales ($10,440.00)
2026-01-31 Depreciation — — Depreciation · Ford F-150 work truck (Jan 2026) Depreciation Expense Accumulated Depreciation $920.00
7000 Depreciation Expense $920.00
1750 Accumulated Depreciation ($920.00)
2026-02-01 Expense — — Studio rent Rent & Lease Business Checking $2,200.00
6300 Rent & Lease $2,200.00
1010 Business Checking ($2,200.00)
2026-02-05 Expense — — Advertising & Marketing Advertising & Marketing Business Checking $1,180.00
6000 Advertising & Marketing $1,180.00
1010 Business Checking ($1,180.00)
2026-02-08 Expense — — Software & Subscriptions Software & Subscriptions Business Checking $420.00
6400 Software & Subscriptions $420.00
1010 Business Checking ($420.00)
2026-02-14 Deposit — — Online sales — Feb Business Checking Sales $4,240.00
1010 Business Checking $4,240.00
4000 Sales ($4,240.00)
2026-02-20 Expense — — Product / materials Cost of Goods Sold Business Checking $4,452.00
5000 Cost of Goods Sold $4,452.00
1010 Business Checking ($4,452.00)
2026-02-22 Expense — — Card processing fees Uncategorized Expense Business Checking $430.00
6900 Uncategorized Expense $430.00
1010 Business Checking ($430.00)
2026-02-25 Expense — — Shipping & supplies Uncategorized Expense Business Checking $300.00
6900 Uncategorized Expense $300.00
1010 Business Checking ($300.00)
2026-02-28 Deposit — — Customer deposits — Feb Business Checking Sales $10,600.00
1010 Business Checking $10,600.00
4000 Sales ($10,600.00)
2026-02-28 Depreciation — — Depreciation · Ford F-150 work truck (Feb 2026) Depreciation Expense Accumulated Depreciation $920.00
7000 Depreciation Expense $920.00
1750 Accumulated Depreciation ($920.00)
2026-03-01 Expense — — Studio rent Rent & Lease Business Checking $2,200.00
6300 Rent & Lease $2,200.00
1010 Business Checking ($2,200.00)
2026-03-05 Expense — — Advertising & Marketing Advertising & Marketing Business Checking $1,188.00
6000 Advertising & Marketing $1,188.00
1010 Business Checking ($1,188.00)
2026-03-08 Expense — — Software & Subscriptions Software & Subscriptions Business Checking $420.00
6400 Software & Subscriptions $420.00
1010 Business Checking ($420.00)
2026-03-11 Fixed asset — — Capitalize MacBook Pro 16 Fixed Assets Opening Balance Equity $3,200.00
1700 Fixed Assets $3,200.00
3000 Opening Balance Equity ($3,200.00)
2026-03-14 Deposit — — Online sales — Mar Business Checking Sales $4,304.00
1010 Business Checking $4,304.00
4000 Sales ($4,304.00)
2026-03-20 Expense — — Product / materials Cost of Goods Sold Business Checking $4,519.00
5000 Cost of Goods Sold $4,519.00
1010 Business Checking ($4,519.00)
2026-03-22 Expense — — Card processing fees Uncategorized Expense Business Checking $437.00
6900 Uncategorized Expense $437.00
1010 Business Checking ($437.00)
2026-03-25 Expense — — Shipping & supplies Uncategorized Expense Business Checking $300.00
6900 Uncategorized Expense $300.00
1010 Business Checking ($300.00)
2026-03-28 Deposit — — Customer deposits — Mar Business Checking Sales $10,760.00
1010 Business Checking $10,760.00
4000 Sales ($10,760.00)
2026-03-31 Depreciation — — Depreciation · Ford F-150 work truck (Mar 2026) Depreciation Expense Accumulated Depreciation $920.00
7000 Depreciation Expense $920.00
1750 Accumulated Depreciation ($920.00)
2026-03-31 Depreciation — — Depreciation · MacBook Pro 16 (Mar 2026) Depreciation Expense Accumulated Depreciation $3,200.00
7000 Depreciation Expense $3,200.00
1750 Accumulated Depreciation ($3,200.00)
2026-04-01 Expense — — Studio rent Rent & Lease Business Checking $2,200.00
6300 Rent & Lease $2,200.00
1010 Business Checking ($2,200.00)
2026-04-05 Expense — — Advertising & Marketing Advertising & Marketing Business Checking $1,196.00
6000 Advertising & Marketing $1,196.00
1010 Business Checking ($1,196.00)
2026-04-08 Expense — — Software & Subscriptions Software & Subscriptions Business Checking $420.00
6400 Software & Subscriptions $420.00
1010 Business Checking ($420.00)
2026-04-14 Deposit — — Online sales — Apr Business Checking Sales $4,368.00
1010 Business Checking $4,368.00
4000 Sales ($4,368.00)
2026-04-20 Expense — — Product / materials Cost of Goods Sold Business Checking $4,586.00
5000 Cost of Goods Sold $4,586.00
1010 Business Checking ($4,586.00)
2026-04-22 Expense — — Card processing fees Uncategorized Expense Business Checking $443.00
6900 Uncategorized Expense $443.00
1010 Business Checking ($443.00)
2026-04-25 Expense — — Shipping & supplies Uncategorized Expense Business Checking $300.00
6900 Uncategorized Expense $300.00
1010 Business Checking ($300.00)
2026-04-28 Deposit — — Customer deposits — Apr Business Checking Sales $10,920.00
1010 Business Checking $10,920.00
4000 Sales ($10,920.00)
2026-04-30 Depreciation — — Depreciation · Ford F-150 work truck (Apr 2026) Depreciation Expense Accumulated Depreciation $920.00
7000 Depreciation Expense $920.00
1750 Accumulated Depreciation ($920.00)
2026-05-01 Expense — — Studio rent Rent & Lease Business Checking $2,200.00
6300 Rent & Lease $2,200.00
1010 Business Checking ($2,200.00)
2026-05-05 Expense — — Advertising & Marketing Advertising & Marketing Business Checking $1,204.00
6000 Advertising & Marketing $1,204.00
1010 Business Checking ($1,204.00)
2026-05-08 Expense — — Software & Subscriptions Software & Subscriptions Business Checking $420.00
6400 Software & Subscriptions $420.00
1010 Business Checking ($420.00)
2026-05-14 Deposit — — Online sales — May Business Checking Sales $4,432.00
1010 Business Checking $4,432.00
4000 Sales ($4,432.00)
2026-05-20 Expense — — Product / materials Cost of Goods Sold Business Checking $4,654.00
5000 Cost of Goods Sold $4,654.00
1010 Business Checking ($4,654.00)
2026-05-22 Expense — — Card processing fees Uncategorized Expense Business Checking $450.00
6900 Uncategorized Expense $450.00
1010 Business Checking ($450.00)
2026-05-25 Expense — — Shipping & supplies Uncategorized Expense Business Checking $300.00
6900 Uncategorized Expense $300.00
1010 Business Checking ($300.00)
2026-05-28 Deposit — — Customer deposits — May Business Checking Sales $11,080.00
1010 Business Checking $11,080.00
4000 Sales ($11,080.00)
2026-05-30 Inventory receipt — — Received 60.0 × Fine Art Print, 12x18 Inventory Asset Checking $840.00
1500 Inventory Asset $840.00
1000 Checking ($840.00)
2026-05-30 Inventory receipt — — Received 60.0 × Framed Print, 16x20 Inventory Asset Checking $3,120.00
1500 Inventory Asset $3,120.00
1000 Checking ($3,120.00)
2026-05-30 Inventory receipt — — Received 60.0 × Postcard Set of 10 Inventory Asset Checking $270.00
1500 Inventory Asset $270.00
1000 Checking ($270.00)
2026-05-31 Depreciation — — Depreciation · Ford F-150 work truck (May 2026) Depreciation Expense Accumulated Depreciation $920.00
7000 Depreciation Expense $920.00
1750 Accumulated Depreciation ($920.00)
2026-06-01 Expense — — Studio rent Rent & Lease Business Checking $2,200.00
6300 Rent & Lease $2,200.00
1010 Business Checking ($2,200.00)
2026-06-05 Expense — — Advertising & Marketing Advertising & Marketing Business Checking $1,212.00
6000 Advertising & Marketing $1,212.00
1010 Business Checking ($1,212.00)
2026-06-08 Expense — — Software & Subscriptions Software & Subscriptions Business Checking $420.00
6400 Software & Subscriptions $420.00
1010 Business Checking ($420.00)
2026-06-09 Transfer — — Transfer to Checking Checking Business Checking $24,000.00
Transfer to Checking 1000 Checking $24,000.00
Transfer to Checking 1010 Business Checking ($24,000.00)
2026-06-14 Deposit — — Online sales — Jun Business Checking Sales $4,496.00
1010 Business Checking $4,496.00
4000 Sales ($4,496.00)
2026-06-19 Invoice 1005 Alder & Finch Co. Invoice 1004 Accounts Receivable -SPLIT- $1,736.53
1100 Accounts Receivable $1,372.53
5000 Cost of Goods Sold $364.00
4000 Sales ($1,265.00)
2200 Sales Tax Payable ($107.53)
1500 Inventory Asset ($364.00)
2026-06-19 Bill — Meta Ads Bill 2004 Rent & Lease Accounts Payable $500.00
6300 Rent & Lease $500.00
2000 Accounts Payable ($500.00)
2026-06-20 Expense — — Product / materials Cost of Goods Sold Business Checking $4,721.00
5000 Cost of Goods Sold $4,721.00
1010 Business Checking ($4,721.00)
2026-06-22 Expense — — Card processing fees Uncategorized Expense Business Checking $456.00
6900 Uncategorized Expense $456.00
1010 Business Checking ($456.00)
2026-06-24 Payment — Alder & Finch Co. Checking Accounts Receivable $90.00
1000 Checking $90.00
1100 Accounts Receivable ($90.00)
2026-06-25 Expense — — Shipping & supplies Uncategorized Expense Business Checking $300.00
6900 Uncategorized Expense $300.00
1010 Business Checking ($300.00)
2026-06-28 Deposit — — Customer deposits — Jun Business Checking Sales $11,240.00
1010 Business Checking $11,240.00
4000 Sales ($11,240.00)
2026-06-29 Fixed asset — — Capitalize Bambu Lab X1C printer Fixed Assets Opening Balance Equity $1,499.00
1700 Fixed Assets $1,499.00
3000 Opening Balance Equity ($1,499.00)
2026-06-30 Depreciation — — Depreciation · Ford F-150 work truck (Jun 2026) Depreciation Expense Accumulated Depreciation $920.00
7000 Depreciation Expense $920.00
1750 Accumulated Depreciation ($920.00)
2026-06-30 Depreciation — — Depreciation · Bambu Lab X1C printer (Jun 2026) Depreciation Expense Accumulated Depreciation $1,499.00
7000 Depreciation Expense $1,499.00
1750 Accumulated Depreciation ($1,499.00)
2026-07-01 Expense — — Studio rent Rent & Lease Business Checking $2,200.00
6300 Rent & Lease $2,200.00
1010 Business Checking ($2,200.00)
2026-07-05 Expense — — Advertising & Marketing Advertising & Marketing Business Checking $1,220.00
6000 Advertising & Marketing $1,220.00
1010 Business Checking ($1,220.00)
2026-07-08 Expense — — Software & Subscriptions Software & Subscriptions Business Checking $420.00
6400 Software & Subscriptions $420.00
1010 Business Checking ($420.00)
2026-07-14 Invoice 1004 Juniper & Pine Boutique Invoice 1003 Accounts Receivable -SPLIT- $667.73
1100 Accounts Receivable $583.73
5000 Cost of Goods Sold $84.00
4000 Sales ($538.00)
2200 Sales Tax Payable ($45.73)
1500 Inventory Asset ($84.00)
2026-07-14 Bill — Studio Rent Holdings Bill 2003 Advertising & Marketing Accounts Payable $425.00
6000 Advertising & Marketing $425.00
2000 Accounts Payable ($425.00)
2026-07-14 Deposit — — Online sales — Jul Business Checking Sales $4,560.00
1010 Business Checking $4,560.00
4000 Sales ($4,560.00)
2026-07-17 Bill payment — Studio Rent Holdings Accounts Payable Checking $100.00
2000 Accounts Payable $100.00
1000 Checking ($100.00)
2026-07-20 Expense — — Product / materials Cost of Goods Sold Business Checking $4,788.00
5000 Cost of Goods Sold $4,788.00
1010 Business Checking ($4,788.00)
2026-07-22 Expense — — Card processing fees Uncategorized Expense Business Checking $463.00
6900 Uncategorized Expense $463.00
1010 Business Checking ($463.00)
2026-07-25 Expense — — Shipping & supplies Uncategorized Expense Business Checking $300.00
6900 Uncategorized Expense $300.00
1010 Business Checking ($300.00)
2026-07-28 Deposit — — Customer deposits — Jul Business Checking Sales $11,400.00
1010 Business Checking $11,400.00
4000 Sales ($11,400.00)
2026-07-31 Depreciation — — Depreciation · Ford F-150 work truck (Jul 2026) Depreciation Expense Accumulated Depreciation $920.00
7000 Depreciation Expense $920.00
1750 Accumulated Depreciation ($920.00)
2026-08-01 Expense — — Studio rent Rent & Lease Business Checking $2,200.00
6300 Rent & Lease $2,200.00
1010 Business Checking ($2,200.00)
2026-08-05 Expense — — Advertising & Marketing Advertising & Marketing Business Checking $1,228.00
6000 Advertising & Marketing $1,228.00
1010 Business Checking ($1,228.00)
2026-08-08 Expense — — Software & Subscriptions Software & Subscriptions Business Checking $420.00
6400 Software & Subscriptions $420.00
1010 Business Checking ($420.00)
2026-08-08 Invoice 1009 Westbrook Gallery From sales order 4 Accounts Receivable -SPLIT- $1,056.00
1100 Accounts Receivable $720.00
5000 Cost of Goods Sold $336.00
4000 Sales ($720.00)
1500 Inventory Asset ($336.00)
2026-08-14 Deposit — — Online sales — Aug Business Checking Sales $4,624.00
1010 Business Checking $4,624.00
4000 Sales ($4,624.00)
2026-08-18 Invoice 1003 Harbor Light Hotel Invoice 1002 Accounts Receivable -SPLIT- $391.40
1100 Accounts Receivable $368.90
5000 Cost of Goods Sold $22.50
4000 Sales ($340.00)
2200 Sales Tax Payable ($28.90)
1500 Inventory Asset ($22.50)
2026-08-18 Bill — Flat Mailer Supply Bill 2002 Software & Subscriptions Accounts Payable $350.00
6400 Software & Subscriptions $350.00
2000 Accounts Payable ($350.00)
2026-08-20 Expense — — Product / materials Cost of Goods Sold Business Checking $4,855.00
5000 Cost of Goods Sold $4,855.00
1010 Business Checking ($4,855.00)
2026-08-22 Expense — — Card processing fees Uncategorized Expense Business Checking $469.00
6900 Uncategorized Expense $469.00
1010 Business Checking ($469.00)
2026-08-23 Payment — Harbor Light Hotel Checking Accounts Receivable $70.00
1000 Checking $70.00
1100 Accounts Receivable ($70.00)
2026-08-23 Bill — Giclée Print Partners PO 3 Inventory Asset Accounts Payable $6,000.00
1500 Inventory Asset $6,000.00
2000 Accounts Payable ($6,000.00)
2026-08-25 Expense — — Shipping & supplies Uncategorized Expense Business Checking $300.00
6900 Uncategorized Expense $300.00
1010 Business Checking ($300.00)
2026-08-28 Journal entry — — Monthly depreciation Depreciation Expense Checking $125.00
7000 Depreciation Expense $125.00
1000 Checking ($125.00)
2026-08-28 Deposit — — Customer deposits — Aug Business Checking Sales $11,560.00
1010 Business Checking $11,560.00
4000 Sales ($11,560.00)
2026-08-31 Depreciation — — Depreciation · Ford F-150 work truck (Aug 2026) Depreciation Expense Accumulated Depreciation $920.00
7000 Depreciation Expense $920.00
1750 Accumulated Depreciation ($920.00)
2026-09-01 Expense — — Studio rent Rent & Lease Business Checking $2,200.00
6300 Rent & Lease $2,200.00
1010 Business Checking ($2,200.00)
2026-09-05 Expense — — Advertising & Marketing Advertising & Marketing Business Checking $1,236.00
6000 Advertising & Marketing $1,236.00
1010 Business Checking ($1,236.00)
2026-09-07 Invoice 1002 Fernhill Frame Shop Invoice 1001 Accounts Receivable -SPLIT- $1,108.55
1100 Accounts Receivable $900.55
5000 Cost of Goods Sold $208.00
4000 Sales ($830.00)
2200 Sales Tax Payable ($70.55)
1500 Inventory Asset ($208.00)
2026-09-07 Bill — Frameworks Supply Co. Bill 2001 Rent & Lease Accounts Payable $275.00
6300 Rent & Lease $275.00
2000 Accounts Payable ($275.00)
2026-09-08 Expense — — Software & Subscriptions Software & Subscriptions Business Checking $420.00
6400 Software & Subscriptions $420.00
1010 Business Checking ($420.00)
2026-09-10 Bill payment — Frameworks Supply Co. Accounts Payable Checking $100.00
2000 Accounts Payable $100.00
1000 Checking ($100.00)
2026-09-11 Expense — — AMZN MKTP US*XK4 Office Supplies business_cc $55.37
6250 Office Supplies $55.37
2100 business_cc ($55.37)
2026-09-14 Deposit — — Online sales — Sep Business Checking Sales $4,688.00
1010 Business Checking $4,688.00
4000 Sales ($4,688.00)
2026-09-15 Invoice 1007 Harbor Light Hotel From sales order 1 Accounts Receivable -SPLIT- $4,344.00
1100 Accounts Receivable $3,720.00
5000 Cost of Goods Sold $624.00
4000 Sales ($3,720.00)
1500 Inventory Asset ($624.00)
2026-09-18 Invoice 1008 Alder & Finch Co. From sales order 3 Accounts Receivable -SPLIT- $2,920.00
1100 Accounts Receivable $1,840.00
5000 Cost of Goods Sold $1,080.00
4000 Sales ($1,840.00)
1500 Inventory Asset ($1,080.00)
2026-09-20 Expense — — Product / materials Cost of Goods Sold Business Checking $4,922.00
5000 Cost of Goods Sold $4,922.00
1010 Business Checking ($4,922.00)
2026-09-21 Bill — Frameworks Supply Co. PO 4 Inventory Asset Accounts Payable $1,872.00
1500 Inventory Asset $1,872.00
2000 Accounts Payable ($1,872.00)
2026-09-22 Invoice 1001 Westbrook Gallery Invoice 1000 Accounts Receivable -SPLIT- $469.49
1100 Accounts Receivable $427.49
5000 Cost of Goods Sold $42.00
4000 Sales ($394.00)
2200 Sales Tax Payable ($33.49)
1500 Inventory Asset ($42.00)
2026-09-22 Bill — Giclée Print Partners Bill 2000 Advertising & Marketing Accounts Payable $200.00
6000 Advertising & Marketing $200.00
2000 Accounts Payable ($200.00)
2026-09-22 Expense — — Card processing fees Uncategorized Expense Business Checking $476.00
6900 Uncategorized Expense $476.00
1010 Business Checking ($476.00)
2026-09-25 Expense — — Shipping & supplies Uncategorized Expense Business Checking $300.00
6900 Uncategorized Expense $300.00
1010 Business Checking ($300.00)
2026-09-27 Payment — Westbrook Gallery Checking Accounts Receivable $50.00
1000 Checking $50.00
1100 Accounts Receivable ($50.00)
2026-09-27 Invoice 1006 Westbrook Gallery From estimate EST-9001 Accounts Receivable -SPLIT- $660.80
1100 Accounts Receivable $520.80
5000 Cost of Goods Sold $140.00
4000 Sales ($480.00)
2200 Sales Tax Payable ($40.80)
1500 Inventory Asset ($140.00)
2026-09-27 Bill — Giclée Print Partners PO PO-3002 Inventory Asset Accounts Payable $336.00
1500 Inventory Asset $336.00
2000 Accounts Payable ($336.00)
2026-09-27 Deposit — — Customer deposits — Sep Business Checking Sales $11,720.00
1010 Business Checking $11,720.00
4000 Sales ($11,720.00)
Total$291,544.87
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License

Your plan travels with your account, not with this computer. Sign in anywhere and your books and your plan come with you.

Plan
Online Pro
Books
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Need more room?

Add a book to this plan, or move up a tier. Either takes effect immediately.

Contact support

Your tickets, and the answers to them, in the app and on your account page at neocapital.app.

Report a problem

Off by default. You can change this here any time.

Reports carry your app version, OS and license ID, never your books. Error details are scrubbed (names, amounts and text redacted) before sending.

Book file

One .neobooks file holding this whole business. Send it to your accountant, move it to another computer, or keep a copy you can come back to.

Export this business

Packages Lumen Studio: every account, transaction, journal entry, customer, invoice and bill, plus uploaded documents, into one file. It downloads to your computer.

Import a book file

Import it as a new business, or replace an existing one with a returned copy. Its current books are saved first, so it is undoable.

Restore points

A saved copy of your books you can go back to. Take one before an import, a merge, or anything else that changes a lot of records at once.

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User manual

Neo-Capital

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Upgrade & add-ons

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Split this transaction

Slice one transaction into multiple categorized lines: e.g. a $400 Costco run becomes $250 office supplies + $150 personal groceries. Just type the amounts. Each line goes the same direction as the original, so an expense stays an expense. Use a minus only for a line that runs the other way, like a fee inside a deposit. Each split shows up as its own line in your P&L.

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Accountant package

One-click year-end ZIP for your CPA. Includes:

  • P&L for the year (income, expenses, net)
  • Balance sheet snapshot (assets + liabilities)
  • Full transactions ledger (every row, with categories)
  • 1099-NEC candidates (contractors paid ≥ $2,000)
  • Mileage log + IRS deduction (if you track mileage)
  • Documents folder (W-9s, receipts, anything you've dropped in)
  • A README the CPA can read to know what each file is

You'll choose where to save the ZIP when you click Build. A copy is also kept with your backups.

Backups

Save a snapshot, run automatic backups, or restore. Your manual backups are never auto-deleted.

Save a backup now
Save to (optional, defaults to your backups folder)
Automatic backups
Also copy every backup to a folder (optional, for cloud sync)
Point at a cloud-synced folder (Dropbox / OneDrive / iCloud) to keep your books backed up off this computer.

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Restore from a backup

Restoring replaces your current data. A safety snapshot is saved first, so you can undo. Use Load from a file… for a backup saved elsewhere.

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What you use

Turn parts of Neo-Capital on and off. Anything you switch off leaves the sidebar, the menus, and every other place the app offers it: dashboards, the Report Center, exports, the cleanup checklist. Your records and reports are never touched, a figure with a real balance behind it still shows, and the pages stay reachable from Search. Turn it back on here whenever.

Setup switched these on from your industry. Turn off anything you do not do.

Sales & customers

Purchases & vendors

Products, stock & assets

Work you track

Money & planning

Tax

Tools & communication

Preferences

Business details

Update your business info. Changes take effect immediately.

Tax profile drives the estimator and the Tax hub
Qualified business income limits (only above ~$200k taxable income)
Branding

Your logo and accent color appear on every PDF you export: invoices, statements, and reports.

Owners

No owners yet. Add them so a draw can say whose it is.

Data Location

Where Neo-Capital keeps its database. This is the whole app: every business on this computer lives here. Changes take effect when you restart.

/data

Locked by the NEO_CAPITAL_DATA_DIR environment variable. Change it there, not here.

Custom theme

Pick your colors. The app updates live as you choose, and changes save automatically.

Text color
Muted / secondary textcaptions, chart labels
Background color
Container & modal color
Topbar color
Button colorlabel auto-contrasts
Money inrevenue bars, positive figures
Money outexpense bars, negative figures
Attentionoverdue, warnings, loss bands
Gradient blendwhat series fade toward
Step 1 of 10

Welcome to Neo-Capital

First, who are you? Your name goes on the invoices, 1099s and reports you send out.

What are these books for?

What kind of business is it?

This is the big one. It decides your categorization rules, your Schedule C activity code, and which tools we turn on. Pick the closest match; everything stays editable later.

Construction & contracting
Transportation & delivery
Professional & business services
Retail & e-commerce
Food & hospitality
Personal care & wellness
Health care
Real estate & property
Home & field services
Creative, media & events
Education & training
Agriculture & animals
Finance, manufacturing & nonprofit
Something else

What do you sell?

We have answered these from your industry. Change any that don't fit. Everything here is reversible from What you use later.

How do you get paid, and how do you pay?

This decides whether your books carry receivables, payables, or neither.

What else do you track?

Each of these adds a section to the program. Anything you turn off you can turn back on any time.

How is your business structured?

This decides which return your books are built around, and whether you owe self-employment tax. Not sure? Most solo owners are a sole proprietorship.

Business details

These appear on your invoices, statements and tax forms.

Fiscal year & accounting method

Which month your financial year begins, usually January, and usually the same as your income-tax year. You'll pick the date your books start in this program on the next step.

This drives your tax figures. Your management reports can be read either way from a toggle on each report.

When do your books start?

The date this program starts from, not the shape of your fiscal year, which you set on the previous step. You'll enter opening balances as of this date.

Branding & look

Your logo and accent color appear on invoices, statements and PDF reports. The theme and chart style are how the program looks to you.

Logo PNG, JPG, GIF, or WebP, up to 5 MB.
Light or dark, and how charts are drawn. Both can be changed any time from the gear menu in the bottom-left.

Review & finish

Here's how we'll set your books up. Anything here is changeable later in Business settings.

Confirm

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Keyboard shortcuts

The standard accounting shortcuts, on Ctrl+Alt — a browser keeps the plain Ctrl chords for itself.

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Discard this entry?

You have changes here that have not been saved. Nothing is recorded in your books until you save.

Find a match

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Add an account

Nest it under a parent of the same account type.

New class

A reporting dimension (location, department, segment) that slices your P&L. Rename or retire them on Chart of Accounts → Classes.

Attachment

Make recurring

Tracks this charge as it repeats: each new one is matched to it when it lands, and you are told if it changes price or stops. Nothing is posted, and this transaction is not categorised by it.

The charge
Subscription: software, memberships. Other recurring charge: ads, rent, utilities. Both are recurring expenses under Recurring → Expenses; the Subscriptions tab shows subscriptions, and the others too when you include them there. Not an A/P bill; nothing is owed or posted.

New payment term

When the bill or invoice falls due, and any early-pay discount. Manage them all from the Lists button on Customers or Vendors.

Return to My Account?

This takes you back to your account on neocapital.app. Your books stay saved with your subscription and open right where you left off.

Add Neo-Capital AI

This is added to your existing Neo-Capital subscription: same card, same renewal date, one invoice. The difference for the rest of this month is charged now, pro-rated. Cancel it any time from your account.

One-time credit packs: no plan change, no renewal, never expire.