Place each general ledger account into one or more user-defined hierarchical reporting structures. See What is a Reporting Hierarchy? for more information.
Create a tax code and tax rates for each different type of tax
you want to record. See About Tax for more information.
If you want to store period actual balances, create one or more intersect definitions. See What is an Intersect Definition? for more information.
If you want to track the variance of period actual balances against budget, create a budget and balance instance and then enter your budget data. See About Budgets and Balances for more information.
If you have one or more intersect definitions, run a balance update. See About Balance Update for more information.