Learning Goals
By the end of this module, learners should be able to complete the workflow in CherryBank and explain the accounting reason behind each important step.
- Complete the UK setup wizard for sole trader, limited company, CIC, CIO, CLG, charity and unincorporated association examples.
- Record Companies House, Charity Commission and OSCR-ready fields.
- Track directors, trustees, PSCs and responsible finance users.
- Set filing date reminders for accounts, confirmation statement, VAT and corporation tax.
Lesson Plan
Use these lesson blocks for lecture delivery, live demo and class discussion.
Sole trader onboarding
Sole traders focus on trading identity, Self Assessment readiness, invoices, expenses and simple tax records.
Limited company and Companies House entities
Companies need registered office, company number, SIC, directors, PSCs, accounts due date and confirmation statement reminders.
Charity and VCSE onboarding
Charity and VCSE records need charity number fields, trustee records, grant tracking, restricted fund context and stewardship reporting needs.
Step-By-Step Lab
This is the student-facing sequence for the practical class. Complete the steps in order, then capture the evidence listed below.
- Open UK Workflow Hub and start the setup wizard.
- Select the organisation type and note which fields become relevant.
- Enter official identity fields such as company number, charity number, registered office or trading name.
- Add people records: director, trustee, PSC or responsible finance user.
- Add filing reminders and compliance dates.
- Save the profile and check the dashboard or workflow hub reflects the completed setup.
Classroom Run Sheet
Use this structure to teach the module in a repeatable classroom or lab session.
Explain
Explain this module
Introduce the accounting concept first: customer, invoice, VAT, expense, fund, role or audit trail.
Demonstrate
Demonstrate this module
Trainer performs the workflow once in CherryBank using a projected simulator account.
Practise
Practise this module
Students complete the same workflow in their own VM tenant using seeded records.
Review
Review this module
Students compare system outputs with expected accounting treatment and discuss errors.
Evidence
Evidence this module
Students submit screenshots, exports, PDFs or short explanations for assessment.
Simulator Practice
These are the VM practice tasks for this module. They are written as student-facing tasks and can later be wired into a guided simulator checklist.
Practice Brief
- Complete onboarding for a sole trader demo organisation.
- Complete onboarding for a limited company demo organisation and add director and PSC details.
- Complete onboarding for a charity or CIC and add trustee or responsible person records.
- Set accounts due date, confirmation statement due date and VAT review reminders.
Knowledge Check
Use these questions for in-class review, a short quiz or a reflective workbook entry.
- Which fields are more relevant to a limited company than a sole trader?
- Why should filing dates be recorded during onboarding?
- What extra context does a charity or VCSE organisation need?
Assessment And Evidence
Students should submit proof that the workflow was completed and a short explanation of the decisions made.
Student Evidence
- Compare the fields needed by a sole trader and a CIC.
- Submit a completed onboarding checklist for one Companies House entity and one VCSE entity.
Trainer Notes
- Use official-looking but fake company and charity numbers in the simulator.
- Ask students to explain why the onboarding path changes by organisation type.
Continue The Course
Move through the modules in order for a complete accounting, invoicing, compliance and AI finance workflow.
Module 1
2 hours
Orientation: CherryBank, Cloud Accounting And AI
Introduce CherryBank as a practical accounting workspace and explain how AI supports, but does not replace, review and judgement.
Module 2
2 hours
Creating Accounts, Login And Verification
Train students to create accounts, choose organisation type, verify email, recover passwords and understand admin manual verification.
Module 4
2 hours
Clients, Products, Services And Templates
Build the master records that make invoice and quote creation accurate and fast.
Module 5
4 hours
Quotes, Invoices And Getting Paid
Run the full sales cycle from quote to invoice, sending, payment tracking and correction.