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Go to Wiise
Reporting & Insights
Getting Started
Finding your way around
Company Set Up
Setting up bank feeds
Notifications & Shortcuts
Glossary of Terms
Wiise Academy
Account Management
Administrative Tasks
Adding Users
Managing Users
Reporting & Insights
Set up your Dashboard
Customise your Reports
PowerBI Dashboards
New Zealand
Payroll & Employees
About Wiise Payroll
Setting Up Wiise Payroll
Set up Wiise Payroll Users
Setting Up Employees
Integrating Timesheets
Rostering
EOFY
Process Pay Run
Superannuation
New Zealand
Sales & Receivables
Customers
Sales Orders & Invoices
Sales Returns & Credits
Sales Journals
Purchases & Payables
Vendors
Purchase Orders & Invoices
Purchase Returns & Credits
Purchase Journals
New Zealand
Accounting Practices
Wiise Academy
Budgets
Journals
Chart of Accounts
Cashflow Management
Bank Reconciliation
Payment Reconciliation
Approval Workflows
Month-End Processes
Year-End Close
New Zealand
Fixed Assets
Inventory & Supply Chain
Inventory
Advanced Warehousing
Sales & Unit Prices
Wiise Purchase Approvals
Wiise Landed Cost
Supply Planning
Wiise Warehouse OnTime
About OnTime
Basic Warehouse
Advanced Warehouse
Connected Apps & Services
Microsoft Apps
Banking
Other Apps
Service Management
Support, Data Security & Updates
General
Updates
Data Security
Microsoft Docs
Back to home
Learning
Reporting & Insights
Getting Started
Finding your way around
Company Set Up
Setting up bank feeds
Notifications & Shortcuts
Glossary of Terms
Wiise Academy
Account Management
Administrative Tasks
Adding Users
Managing Users
Reporting & Insights
Set up your Dashboard
Customise your Reports
PowerBI Dashboards
New Zealand
Payroll & Employees
About Wiise Payroll
Setting Up Wiise Payroll
Set up Wiise Payroll Users
Setting Up Employees
Integrating Timesheets
Rostering
EOFY
Process Pay Run
Superannuation
New Zealand
Sales & Receivables
Customers
Sales Orders & Invoices
Sales Returns & Credits
Sales Journals
Purchases & Payables
Vendors
Purchase Orders & Invoices
Purchase Returns & Credits
Purchase Journals
New Zealand
Accounting Practices
Wiise Academy
Budgets
Journals
Chart of Accounts
Cashflow Management
Bank Reconciliation
Payment Reconciliation
Approval Workflows
Month-End Processes
Year-End Close
New Zealand
Fixed Assets
Inventory & Supply Chain
Inventory
Advanced Warehousing
Sales & Unit Prices
Wiise Purchase Approvals
Wiise Landed Cost
Supply Planning
Wiise Warehouse OnTime
About OnTime
Basic Warehouse
Advanced Warehouse
Connected Apps & Services
Microsoft Apps
Banking
Other Apps
Service Management
Support, Data Security & Updates
General
Updates
Data Security
Microsoft Docs
Reporting & Insights
Setting up your dashboard and generating custom reports with Wiise and PowerBI.
Set up your Dashboard
How to view a list of standard reports
Customise your Reports
Prepare your GST & BAS statements
How to set up and view custom reports
How to ensure Remittance Advice reporting is correctly configured
How to troubleshoot Jet Reports performance issues
How to report on your unpaid expenses
How to report on overdue invoices
How does reporting work in Wiise?
What’s in the Wiise Reporting Pack
Run other operational reports in Wiise
See more
PowerBI Dashboards
About Power BI
New Zealand
Reporting | Wiise New Zealand