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- Rapidweaver 7 3 – Create Template Based Websites Rapidly Step By Step
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RapidWeaver 7 is here, giving OS X users the ability to build beautiful websites without writing a single line of code. The update brings an overhauled FTP engine, brand new website themes,. RapidWeaver is a website creation tool for Mac. Much like the website builders provided with many hosting plans, RapidWeaver uses a template-based approach to design and customize your own website. Unlike most of those, RapidWeaver can be downloaded directly to your computer, allowing you complete freedom from a specific hosting provider.
RapidWeaver is an extremely intuitive tool for creating slick, professional-looking websites. There’s no code to learn — instead, you organize pages and plugins much as you would a series of folders. This simple layout supports a wide variety of features, including text boxes and forms, image hosting, embedded videos, and premade themes.
Create your own websites in minutes
Without a doubt, RapidWeaver takes the top place for apps that allow you to build websites without knowing a lick of code. Apply a theme you’d like to modify from the extensive professional library, find and use the best imagery from Unsplash, see any work-in-progress with the preview feature, and make your website responsive and search engine friendly — all in a span of a coffee break.
Here’s how to make your imaginary website a reality.
Starting a project
- To begin, click the “Create a New Rapidweaver Project” icon on the opening screen. You’ll see a blank project.
- To add your first text, click the “+” sign at top left and choose from the drop-down menu. This will create your site’s first page. Enter as much or as little text as you’d like.
- Then, click over to the “Themes” tab and select from the app’s extensive catalog of pre-made designs.
Adding pages
Once you’ve started your project, you can add more pages with the plus button. Any page you add will be linked to your homepage with the app’s built-in navigation feature. Be sure to name each new page you create by clicking its tab in the sidebar: this will make navigation much easier.
RapidWeaver supports finding the perfect imagery by using Unsplash right within the app. And with a straightforward but powerful built-in plugin manager, you can choose any extra functionality you need, from blogs to contact forms.
Previewing your work
Once you’ve got a few pages filled out, it’s time to see how the site looks on its feet.
- Click over to the Preview tab to see your themes and text in action.
- You can also use the Responsive Device Simulator to see how your site will look on a variety of devices with different screen sizes.
- Don’t like what you see? Try another theme. To view how it looks click Preview Page With. via context menu and view the page in the Google Chrome. Or click the Master Style tab on the left side of the window and adjust font size, color, and other visual attributes to your liking.
- Forgot about GDPR? No problem. Flick the privacy cookie banner on in Settings with just one click.
Publishing to the world
- When you’re ready to take your site live, click the Publishing Setup button in the top right corner.
- Fill in the details about your hosting server and web address in the text fields and drop-down menus.
- When complete, click Test to try out a demo or Publish to post your site online.
If you’re not sure that your site is ready for prime time, hit the Health Check button, which analyzes your site and lets you know if you’ve skipped any crucial steps. And don’t forget about SEO! Whether it’s fine-tuning your Twitter cards, declaring a language inside the HTML code, or specifying custom .htaccess requirements, now is your chance to do it right all at once.
This website building app puts you in charge of an elegant, easy-to-use set of design tools. With its comprehensive support, easy editing, and preview modes, it’s a learning experience that grows with you. Get RapidWeaver on Setapp to try it for free.
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by Andy Marker on Oct 23, 2018
Save time, protect financial assets, and increase accuracy with free bank reconciliation templates. You can customize all of the templates offered below for business use or for reconciling personal accounts. For more financial management tools, download cash flow and other accounting templates.
Balance Sheet Template
Calculate the balance of a company’s assets, liabilities, and equity to get a snapshot of its financial position at any given time. The template includes lines for assets such as cash, accounts receivable, inventory, and investments, along with liabilities, including accounts payable, loans, and payroll. Add your own line items to this Excel sheet, and the template will automatically calculate the totals.
Subtitle studio 1 5 14. Download Balance Sheet Template
Excel | Smartsheet
Accounts Payable Ledger
Use this template to track accounts payable transactions, including supplier names, invoice numbers, amounts due, and completed payments. This spreadsheet template makes it easy to organize important account information that can then be referenced for accounts payable reconciliation. Customize the template by adding or reducing columns to suit your business needs.
Download Accounts Payable Ledger
Excel | Smartsheet
General Ledger (GL) Reconciliation Template
Companies or individuals can use this general ledger (GL) reconciliation template for bank reconciliation. Businesses can also use it for reconciling balance sheet accounts, such as accounts payable, by editing the template to show the appropriate account information. Enter the balance from your bank statement or subledger along with the general ledger balance, and adjust amounts based on outstanding deposits and checks. The template will then reflect any variance between the records. If they are not reconciled, you can examine the records for errors or other discrepancies that need to be resolved.
Monthly Bank Reconciliation Template
This simple bank reconciliation template is designed for personal or business use, and you can download it as an Excel file or Google Sheets template. Enter your financial details, and the template will automatically calculate totals so that you can quickly see whether your bank statement and accounting journal are reconciled. To create an ongoing record, copy and paste the blank template into a new tab for each month of the year.
Download Monthly Bank Reconciliation Template
Excel | Google Sheets
Petty Cash Reconciliation Template
Many businesses use petty cash funds to pay for minor expenditures. You can use this template for reconciling petty cash accounts to help ensure that you’ve accounted for current receipts and that cash amounts are accurate. How often you need to reconcile the account may depend on how frequently it is used.
Credit Card Reconciliation Template
Reconcile a business credit card account with transaction receipts, and create an expense report for documentation. Edit the template to include business expenses that need to be tracked. Then, enter each charge amount along with dates and account numbers. This template can be used for travel, entertaining clients, or other authorized business expenses. Make sure that your credit card statement matches the transactions reported on the reconciliation template.
Daily Cash Flow Template
This comprehensive cash flow template allows you to view a breakdown of total receipts, payments, and expenses on a daily basis. Enter the first day of the month, and the template will fill in subsequent dates, providing a detailed look at daily cash flow. The template also shows the ending cash position so that you can quickly see if it reconciles with your balance sheet.
What Is Balance Sheet Reconciliation?
Balance sheetaccount reconciliation is the process of comparing a company’s general ledger, or primary accounting record, with subsidiary ledgers or bank statements in order to identify and resolve discrepancies. Since you can perform this process with internal subledgers for specific balance sheet accounts or external bank statements, the process is also known as bank reconciliation. This is an important part of monthly accounting in order to ensure accurate records, prepare for internal audits, detect fraud quickly, and manage cash flow. Individuals can also reconcile monthly bank statements with personal records to make sure they know their actual bank account balance and avoid overdrafts.
What Is Reconciliation in Accounts Payable?
Rapidweaver 7 3 – Create Template Based Websites Rapidly Using
Reconciling an accounts payable (AP) account involves matching the general ledger balance with the AP subsidiary ledger (or other record showing AP transactions). If the two ledgers match up, the accounts are reconciled. If not, the two ledgers need to be compared closely to identify errors such as missing or incorrect entries.
This process is typically performed monthly for efficiency and to prevent errors from carrying over from one month or year to the next. Accounts payable reconciliation may be done manually or with software, depending on the size of your business and accounting needs.
What Is the Accounting Reconciliation Process?
Documentation is important for all aspects of accounting, and organizations typically have reconciliation policies that must be followed, including due dates for submitting completed reconciliations. Here are the basic steps involved and the items to track as you reconcile accounts:
- Gather and Compare Records: Depending on the accounts you plan to reconcile, inspect and compare bank statements or subsidiary ledgers to a general ledger or personal accounting records. You may need to collect more than one financial report or records of deposits and checks in order to get a complete view of transactions. When comparing a bank statement to an accounting journal, take into account service charges, interest, and other fees. Outstanding checks or deposits won’t appear on the bank statement, so your comparison also needs to consider these factors.
- Identify Discrepancies: Once you have adjusted your ledger for outstanding transactions as well as fees and other charges, the two records should reconcile. If they don’t, look for any discrepancies between the bank statement and general ledger, which may occur due to bank errors or internal errors on the part of a company or individual.
- Resolve Discrepancies: Investigate any unusual or missing transactions to find the source of the issue and make corrections. Contact the bank about errors that they appear to be responsible for, and keep an eye out for errors that you or an employee may have made.
Reconciling accounts on a regular basis can help to maintain an efficient process, reduce errors in the long run, and limit the stress of dealing with financial discrepancies.
Improve Account Reconciliation with Real-Time Work Management in Smartsheet
Account reconciliation templates are a critical building block if you want to get your organization’s — or your own — finances in order. Once you’ve established that foundation, take your team to the next step with a powerful tool that helps standardize your process and manage the flow of cash and assets.
Smartsheet is an enterprise work execution platform that is fundamentally changing the way businesses and teams work. Over 74,000 brands and millions of information workers trust Smartsheet to help them accelerate business execution and address the volume and velocity of today's collaborative work.
Rapidweaver 7 3 – Create Template Based Websites Rapidly Step By Step
The familiar Smartsheet interface that is designed for how people actually work leads to rapid and broad adoption across your organization. Use self-service reports and dashboards in Smartsheet to provide real-time visibility into resources, status, and performance, so you can rapidly align operations with strategy.
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Discover why millions of professionals around the world use Smartsheet to move from idea to impact fast.