User guide for Estimated Payments

This guide provides comprehensive instructions on setting up and managing the system, including creating accounts, assigning permissions, configuring jurisdictions, and managing filing groups. It also covers advanced features such as multi-tier consolidation, tax law control panel settings, data refresh, and importing data. Additionally, the guide explains how to generate reports, lock data, print vouchers, and transfer estimated payments to the ONESOURCE Income Tax and Calendar applications. The goal is to reduce manual errors, ensure compliance with current tax laws, and improve efficiency in handling tax-related tasks.