Adjusting Accounts When a Customer is also a Vendor

Size: px
Start display at page:

Download "Adjusting Accounts When a Customer is also a Vendor"

Transcription

1 Adjusting Accounts When a Customer is also a Vendor INTRODUCTION The following example illustrates how to adjust accounts if you have a balance with a vendor, and the vendor wants to apply your balance to his account with you. For an example, assume that you owe the vendor $ and the vendor owes you $750. The vendor wants to apply the $ so that you have a balance of $0 and the amount he owes you is reduced. You must enter transactions in both Accounts Payable and Accounts Receivable. SETUP You will need to set up the following in order to record the exchange adjustments: An AR Adjust code An AP Adjust code Both codes will reference a clearing account in the SuccessWare21 chart of accounts. Doing so will create a wash entry to the clearing account when you have finished processing. Before you add the appropriate codes into the Reference Library you should review the Chart of Account Setup to find the clearing account. To find the clearing account: 1. Select Setup, then General Ledger from the MAIN MENU. 2. Select tab 1 Account Setup. 3. Locate the Account Class Current Liabilities using the drop down menu. 4. Locate account Clearing. (If your company uses a different account for clearing, confirm that account number exists.) 5. If you cannot locate the account, you must add it. To add the account: a. While displaying the Current Liabilities, select the New Account button. b. Use the drop down menu in the right panel of your screen to select the account category Other Current Liabilities. c. Double-click account 2090, enter the description Clearing, and select Save. NOTE: Confirm that your CPA does not want you to use a different account for clearing. SuccessWare, Inc. 1

2 AR Adjust Code You will use an AR Adjust Code when posting credit or debit adjustments in BILLING ACCOUNT HISTORY. The AR Adjust Code will determine what account should be debited or credited to offset the posting to Accounts Receivable. The system will post to Accounts Receivable by default. To add an AR Adjust Code: 1. Select Setup, then Reference Library, from the MAIN MENU. 2. Select Accounting from the list of Volumes. 3. Click on AR Adjust Codes and select the Open button to open the table. 4. Press Ctrl+Enter or right-click and select Modify mode to open the table for editing. 5. Press Ins to insert a new line. 6. Enter the Code and Description that you wish to use. Be sure to select or enter the Clearing account as the GL_Account. 7. Press Enter to save the line, then Esc to exit modify mode. 8. Press Esc again to return to the REFERENCE LIBRARY. Remain in the Accounting Volume to add the next code. AP Adjust Code You will use an AP Adjust Code when posting credit or debit adjustments in VENDOR ACCOUNT HISTORY. The AP Adjust Code will determine what account should be debited or credited to offset the posting to Accounts Payable. The system will post to Accounts Payable by default. To add an AP Adjust Code: 1. Click on AP Adjust Codes and select the Open button to open the table. 2. Press Ctrl+Enter or right-click and select Modify mode to open the table for editing. 3. Press Ins to insert a new line. SuccessWare, Inc. 2

3 4. Enter the Code and Description that you wish to use. Be sure to select or enter the Clearing account as the GL_Account. 5. Press Enter to save the line, then Esc to exit modify mode. 6. Press Esc again to return to the REFERENCE LIBRARY. 7. Select Close to return to the MAIN MENU. PROCESSING There are two steps necessary to record exchange adjustments: Update the customer s BILLING ACCOUNT HISTORY Update the VENDOR ACCOUNT HISTORY As an example, assume that Jim Overton is your customer. He also owns Advanced Automotive, the company that performs your fleet s maintenance and repair To adjust the Billing Account History: We re going to start by applying a credit to the amount that Jim Overton owes us, reducing his remaining balance. 1. Open the RECEIVABLES MANAGER and locate the Vendor s billing account. 2. Highlight the account and press Enter, right-click and select Open account, or press F4 to open the BILLING ACCOUNT HISTORY form. 3. Highlight the open invoice and select Adjust. 4. The Adjustment form will open. SuccessWare, Inc. 3

4 a. Select Credit memo. b. The Date will default to the current date. Accept the date or enter the date you wish the adjustment to post. c. Use the drop-down menu to select the AR Adjust Code that was set up for the exchange credits. d. Enter the amount of the credit the vendor has issued to your account. e. The Acct will default the clearing account as set up on the code. f. Enter or select the Department that you wish to affect with the memo. Since this will be a wash transaction you can post against 00, the Admin Department. You will use this same department on the AP side. g. The Reference field is optional but it is recommended that you enter a reference number. The reference will appear as the reference on general ledger transactions. You may wish to use the invoice number as the reference. h. Enter a Comment if you wish. i. The system will select Manual Allocation by default. Select Post. j. The system will open the MANUAL ALLOCATION form where all open items will be displayed. SuccessWare, Inc. 4

5 k. Highlight the invoice to which you are applying the credit and press Enter to apply the memo to that transaction. l. Confirm that the Unapplied Balance is $.00 and the transaction is Fully allocated. Then select Post to complete the transaction. The accounting result of this memo will be a credit to Accounts Receivable (1101) and a debit to the Clearing account (2090). The combined posting of this transaction and the adjustment to the vendor will create a wash entry to 2090 and the net result will be a credit to Accounts Receivable and a debit to Accounts Payable. 5. Exit from Receivables and open the PAYABLES MANAGER. To adjust Vendor Account History: Now we are going to apply a credit to the vendor billing account and apply it against an outstanding invoice. 1. Locate the Vendor from the PAYABLES MANAGER. 2. Highlight the account and right-click to select Open account, or press F4 to open the VENDOR ACCOUNT HISTORY form. SuccessWare, Inc. 5

6 3. Highlight the open invoice and select Adjust. 4. The Adjustment form will open. a. Select Credit memo. b. The Date will default to the current date. Accept the date or enter the date you wish the adjustment to post. c. Use the drop-down menu to select the AP Adjust Code that was set up for the exchange credits. d. The amount will default to the open balance of the invoice. Accept the amount, or enter the amount if it is different. e. The Acct will default the clearing account as set up on the code. f. Enter or select the Department that you wish to affect with the memo. Since this will be a wash transaction you can post against 00, the Admin Department. Be sure to use the same department you used on the AR side of the transaction. g. The Reference field is optional but it is recommended that you enter a reference number. The reference will appear as the reference on general ledger transactions. You may wish to use the original AR invoice number as the reference. h. Enter a Comment if you wish. i. If the Adjust Amount matches the invoice balance, the system will default to Auto allocate adjustment. Select Post. You will return to the VENDOR ACCOUNT HISTORY form. If the Adjust Amount does not match the invoice balance, the system will select Manual Allocation by default. Select Post. 1. The system will open the MANUAL ALLOCATION form where all open items will be displayed. SuccessWare, Inc. 6

7 2. Highlight the invoice to which you are applying the credit and press Enter to apply the memo to that transaction. 3. Confirm that the Unapplied Balance is $.00 and the transaction is Fully allocated. Then select Post to complete the transaction. The accounting result of this memo will be a debit to Accounts Payable (2001) and a credit to the Clearing account (2090). The combined posting of this transaction and the adjustment to the vendor will create a wash entry to 2090 and the net result will be a credit to Accounts Receivable and a debit to Accounts Payable. SuccessWare, Inc. 7

Setting Up and Maintaining Line of Credit Accounts

Setting Up and Maintaining Line of Credit Accounts Setting Up and Maintaining Line of Credit Accounts INTRODUCTION SuccessWare 21 has a feature that allows the creation and use of register accounts designed specifically for tracking transactions on a credit

More information

Processing Customer Credit Memos and Refunds

Processing Customer Credit Memos and Refunds Processing Customer Credit Memos and Refunds If a job completed for a customer requires the processing of a refund or credit you can create a credit memo for the customer that will be reflected on the

More information

Reference Document. Customer Refunds

Reference Document. Customer Refunds Document Overview This document is being provided to explain how to generate a refund check to a customer. This document explains the process, setup involved and how the transaction affects the general

More information

User Documentation. Accounts Receivable. June

User Documentation. Accounts Receivable. June User Documentation Accounts Receivable June 2008 www.randrinc.com FP_UserManual_AccountsReceivable.doc Page 1 Table of Contents: Page: 1. Overview 3 2. Receive Payments 4 3. Unposted Deposits 5 4. AR Aging

More information

Understanding Tax Codes in Simply Accounting

Understanding Tax Codes in Simply Accounting Understanding Tax Codes in Simply Accounting www.prismbusinesstraining.com Understanding the Taxes and Tax Codes The tax code settings in Simply Accounting are found in the Setup menu on Simply s home

More information

You take care of your customers. We take care of you

You take care of your customers. We take care of you You take care of your customers. We take care of you Changes to UK VAT Rate 25 th November 2008 Contents 1. INTRODUCTION... 1 2. CHANGE VAT RATE... 1 2.1 ADD ADDITIONAL VAT CLASS... 1 2.2 CHANGE VAT RATES...

More information

FAP R12 Upgrade project. R12 AR Training 19 August-2016

FAP R12 Upgrade project. R12 AR Training 19 August-2016 FAP R12 Upgrade project R12 AR Training 19 August-2016 Agenda Key Processes From AR Transactions - Sale & Non Sale Invoice / Credit Memo / Debit Memo Receipts Standard & Misc. Receipt Application on Transaction

More information

v.5 Accounts Payable: Credit Card Tracking (Course #V211)

v.5 Accounts Payable: Credit Card Tracking (Course #V211) v.5 Accounts Payable: Credit Card Tracking (Course #V211) Presented by: Erin Ogletree Shelby Master Trainer 2017 Shelby Systems, Inc. Other brand and product names are trademarks or registered trademarks

More information

Accounting with MYOB Accounting Plus v18. Chapter Four Accounts Payable

Accounting with MYOB Accounting Plus v18. Chapter Four Accounts Payable Accounting with MYOB Accounting Plus v18 Chapter Four Accounts Payable Recording a Purchase Important Points A Purchase is obtaining goods for re-sale. Purchases are obtained from Suppliers. Amounts owed

More information

Independent Sales Associate Direct Deposit Administration User Guide

Independent Sales Associate Direct Deposit Administration User Guide Independent Sales Associate Direct Deposit Administration User Guide 1 Contents Direct Deposit Administration... 3 Accessing Direct Deposit Admin for First Time Users... 3 Setting Up a New Bank Account...

More information

Customer Refunds. Reference Guide For Versions Last Revised: December 29, SedonaOffice

Customer Refunds. Reference Guide For Versions Last Revised: December 29, SedonaOffice Reference Guide For Versions 5.7.24+ Last Revised: December 29, 2015 SedonaOffice 8401 Chagrin Blvd. Suite 15B 45185 Joy Road Chagrin Falls, OH 44023 Canton, MI 48187 440.247.5602 Table of Contents About

More information

How to Journalize using Data Entry

How to Journalize using Data Entry Steps Essential to Success 1. Print a copy of the Problem you intend to complete. To do so, go to the software log-in page and click on Download Student Manual button, click on the Problem to open it.

More information

ShelbyNext Financials: Credit Card Tracking (Course #N211)

ShelbyNext Financials: Credit Card Tracking (Course #N211) ShelbyNext Financials: Credit Card Tracking (Course #N211) Presented by: Dave Heston Shelby Consultant 2017 Shelby Systems, Inc. Other brand and product names are trademarks or registered trademarks of

More information

Accounts Payable (A/P)

Accounts Payable (A/P) Accounts Payable (A/P) I. Introduction a. Definition b. Accounts II. Setting up A/P a. Vendor setup b. Pay Terms III. Entering bills and paying bill IV. How it will look and Useful reports V. Steps to

More information

X-Charge Credit Card Processing

X-Charge Credit Card Processing X-Charge Credit Card Processing OpenEdge (Formerly X-Charge) Payment Processing Setup... 1 Setting Permissions for Credit Card Processing... 1 Setting Up X-Charge Payment Processing in SuccessWare 21...

More information

How to Write off Bad Debt in ServiceTitan and QuickBooks (Desktop)

How to Write off Bad Debt in ServiceTitan and QuickBooks (Desktop) How to Write off Bad Debt in ServiceTitan and QuickBooks (Desktop) Who should use this guide: Accountant Anyone in the office responsible for QuickBooks setup or exporting to QuickBooks. Overview During

More information

General Ledger Plus has several advantages over the standard General Ledger.

General Ledger Plus has several advantages over the standard General Ledger. How To Updated: 06/30/2011 2011 Shelby Systems, Inc. All Rights Reserved Other brand and product names are trademarks or registered trademarks of the respective holders. General Ledger Plus has several

More information

ShelbyNext Financials: Credit Card Tracking

ShelbyNext Financials: Credit Card Tracking ShelbyNext Financials: Credit Card Tracking (Course #F211) Presented by: Dave Heston Shelby Consultant 2018 Shelby Systems, Inc. Other brand and product names are trademarks or registered trademarks of

More information

Close a repair order

Close a repair order Close a repair order When closing an ICBC estimate ensure you are working with the latest version of the estimate, and that all supplements have been imported from PenPro into ImEX! On the top menu, select

More information

Palladium Company Setup Guide

Palladium Company Setup Guide Palladium Company Setup Guide This document will assist you in setting-up your Palladium Company prior to processing transactions. Contents Setting up Linked Accounts... 2 Purpose of Linked Accounts...

More information

CUSTOMER RECEIPT CUSTOMER RECEIPT

CUSTOMER RECEIPT CUSTOMER RECEIPT CUSTOMER RECEIPT There are two ways to make a customer payment, either through the Customer or through the Cashbook. It may seem more obvious to use the Customer Receipt, but it is actually easier to use

More information

This Page Intentionally Left Blank

This Page Intentionally Left Blank This Page Intentionally Left Blank SedonaOffice Page 2 of 21 Table of Contents Accounts Receivable Overview... 4 Aging Categories (Buckets) and Aging... 5 Aging Categories (Buckets)... 5 Aging Method...

More information

Accounting with MYOB v18. Chapter Five Accounts Receivable

Accounting with MYOB v18. Chapter Five Accounts Receivable Accounting with MYOB v18 Chapter Five Accounts Receivable Recording a Sale Important Points A Sale is the supply of goods or services to Customers in the normal course of business. Amounts owed by these

More information

REFUND TO CUSTOMER WHEN TRADE VALUE IS MORE THAN UNIT SALE

REFUND TO CUSTOMER WHEN TRADE VALUE IS MORE THAN UNIT SALE Method #1--If customer wants a refund cheque STEP 1-Set up an AP Clearing account if it does not already exist. 1. Go to Finance/GL/Update/Account Update 2. Enter current GL Year Sequence. 3. Choose a

More information

3 - Paying Bills CCSD Symphony Circulation Manual (08/17) Paying Bills

3 - Paying Bills CCSD Symphony Circulation Manual (08/17) Paying Bills Paying Bills The Paying Bills Wizard helps you process user payments for current bills. 1. Click on the Paying Bills Wizard found under the Common Tasks Wizard heading. 2. Enter the patron User ID and

More information

Palladium Company Setup Guide

Palladium Company Setup Guide Palladium Company Setup Guide This document will assist you in setting-up your Palladium Company prior to processing transactions. Contents Setting Up Linked Accounts... 2 Purpose of Linked Accounts...

More information

IFS Year End Training 2017 Closing the Year

IFS Year End Training 2017 Closing the Year Important Facts About Closing A Year On IFS The following is a summary of important facts to know about closing a year in the Integrated Financial System. * Vouchers that are transferred to Accounts Payable

More information

Associated Connect. Reference Guide: Quick Payments

Associated Connect. Reference Guide: Quick Payments Associated Connect Reference Guide: Quick Payments Page 2 of 14 Quick Payments Use the Quick Payments service to send, save and manage your ACH payments. Depending on your configuration, you can use Quick

More information

General Ledger Audit Guide

General Ledger Audit Guide General Ledger Audit Guide Last Updated: January 4, 2009 This General Ledger Audit Guide is for use by SedonaOffice customers only. This guide is to be used in conjunction with an approved training class

More information

Make sure the client aged receivables balance to the general ledger total. Write off client balances. Pick a date that makes sense: a. b. c. d.

Make sure the client aged receivables balance to the general ledger total. Write off client balances. Pick a date that makes sense: a. b. c. d. Overview This document provides conversion tips and instructions for entering client and general ledger beginning balances Entering beginning balances in Nexsure entails bringing balances forward from

More information

REMOVING A BAD DEBT BALANCE FROM ACCOUNTS RECEIVABLE

REMOVING A BAD DEBT BALANCE FROM ACCOUNTS RECEIVABLE FINANCE AND ACCOUNTING Tutorial: REMOVING A BAD DEBT BALANCE FROM ACCOUNTS RECEIVABLE How to assign a reserve to outstanding customer invoices and create a bad debt receipt. Contents Customers with uncollectable

More information

BUILDSMART DEBTORS. SmartAct. Authorized Training Manual

BUILDSMART DEBTORS. SmartAct. Authorized Training Manual BUILDSMART DEBTORS SmartAct Authorized Training Manual - 1 - - 2 - SmartAct Authorized Training Manual Notice This document and the Buildsmart software may be used only in accordance with the accompanying

More information

Using ERAs with Helper

Using ERAs with Helper Using ERAs with Helper Table of Contents Introduction to ERAs in Helper... 1 Getting Started with ERAs... 1 Set up Multi-User settings for ERAs... 1 Enter the ERA Payer ID in the Insurance Company Library...

More information

Work4Me. Algorithmic Version. Problem Seven. Accounting for Accounts Receivable and Merchandise Inventory with Perpetual Inventory System

Work4Me. Algorithmic Version. Problem Seven. Accounting for Accounts Receivable and Merchandise Inventory with Perpetual Inventory System Work4Me Algorithmic Version 1 st Web-Based Edition Problem Seven Accounting for Accounts Receivable and Merchandise Inventory with Perpetual Inventory System Page 1 UPTIGHT TOOLS, INCORPORATED CHART OF

More information

Manage Credit Memos. User Guide - Table of Contents Summer Edition. Overview. Use Case. Accessing the Tool. Entering Credit Memos

Manage Credit Memos. User Guide - Table of Contents Summer Edition. Overview. Use Case. Accessing the Tool. Entering Credit Memos 2016 - Summer Edition User Guide - Table of Contents Overview Use Case Accessing the Tool Entering Credit Memos Posting Credit Memo Batch Editing Credit Memos Deleting Credit Memos Common Questions and

More information

Entering Credit Card Charges

Entering Credit Card Charges Entering Credit Card Charges Entering Credit Card Charges QuickBooks lets you choose when you enter your credit card charges. You can enter credit card charges when you charge an item or when you receive

More information

Accounts Receivables Accruals

Accounts Receivables Accruals Accounts Receivables Accruals For FY16 June 16, 2016 Information Technology Understanding the Accrual Process The goal of year-end accrual process is to recognize revenues and expenses in the period in

More information

Here are some special notes and rules good to know before you proceed: NOTE: In the new year you can edit or update any GL Codes if necessary.

Here are some special notes and rules good to know before you proceed: NOTE: In the new year you can edit or update any GL Codes if necessary. CLOSE YEAR PREREQUISITES In order to ensure a smooth transition of closing your fiscal year to opening a new, Pentagon 2000 Software has recommended prerequisites to accommodate your accounting practices

More information

QuickBooks Integration (Enterprise)

QuickBooks Integration (Enterprise) One Blue Hill Plaza, Second Floor, PO Box 1546 Pearl River, NY 10965 1-800-PC-AMERICA, 1-800-722-6374 (Voice) 845-920-0800 (Fax) 845-920-0880 QuickBooks Integration (Enterprise) CRE/RPE now exports sales

More information

GL Budgets. Account Budget and Forecast. Account Budgets and Forecasts Menu

GL Budgets. Account Budget and Forecast. Account Budgets and Forecasts Menu Account Budget and Forecast The Account Budget and Forecast function allows you to enter and maintain an unlimited number of budgets and/or forecasts values and types. When setting up the account budgets

More information

Version Setup and User Manual. For Microsoft Dynamics 365 Business Central

Version Setup and User Manual. For Microsoft Dynamics 365 Business Central Version 1.0.0.0 Setup and User Manual For Microsoft Dynamics 365 Business Central Last Update: September 6, 2018 Contents Description... 4 Features... 4 Cash Basis versus Accrual Basis Accounting... 4

More information

Advantage Multiple Currency Support Current Procedures

Advantage Multiple Currency Support Current Procedures Advantage Multiple Currency Support Current Procedures Overview: This document explains how to process multiple currencies in a single database; how to convert to a HOME currency and how to consolidate

More information

Tracking and Paying Sales Tax. Lesson 11

Tracking and Paying Sales Tax. Lesson 11 Tracking and Paying Sales Tax Lesson 11 1 Lesson objectives To get an overview of sales tax in QuickBooks (the steps involved in tracking, collecting, and paying it) To see how to set up QuickBooks to

More information

Release Please distribute to all Spectra users in your company.

Release Please distribute to all Spectra users in your company. Release 8.2.0 DECEMBER 2018 Please distribute to all Spectra users in your company. Support Email: support@spectra.ca Visit us online at: www.spectra.ca Support Telephone: (866) 718-2345 Support Fax: (866)

More information

ACS YEAR-END FREQUENTLY ASKED QUESTIONS. General Ledger

ACS YEAR-END FREQUENTLY ASKED QUESTIONS. General Ledger ACS YEAR-END FREQUENTLY ASKED QUESTIONS This document includes answers to frequently asked questions about the following ACS modules: General Ledger Payroll Accounts Payable Accounts Receivable General

More information

QUICKBOOKS BY INTUIT STUDENT VERSION ACCOUNTING SOFTWARE SUPPLEMENT FOR CHAPTER 1

QUICKBOOKS BY INTUIT STUDENT VERSION ACCOUNTING SOFTWARE SUPPLEMENT FOR CHAPTER 1 THE KNOWLEDGE BUREAU 2011 QUICKBOOKS BY INTUIT STUDENT VERSION ACCOUNTING SOFTWARE SUPPLEMENT FOR CHAPTER 1 COMMONALITIES OF BOOKKEEPING FOR VARIOUS BUSINESS ENTERPRISES OUR PRACTICAL GOAL: Here is what

More information

QuickBooks Advanced. Basic Reports. For most reports use the Report Center button. That will lead to a screen like this:

QuickBooks Advanced. Basic Reports. For most reports use the Report Center button. That will lead to a screen like this: QuickBooks Advanced Basic Reports For most reports use the Report Center button. That will lead to a screen like this: There are a ton of report options, but there are really only 3 that you need: Profit

More information

PayBiz Direct Debits

PayBiz Direct Debits PayBiz Direct Debits 3/08/2017 Contents Direct Debits... 2 Debtor Setup... 2 Company Setup... 3 Batch Direct Debits... 4 Create the Direct Debit Export File... 5 Direct Debits Debtors (customers) can be

More information

Enhanced General Ledger Quick Steps version 8.016

Enhanced General Ledger Quick Steps version 8.016 Enhanced General Ledger Quick Steps version 8.016 The General Ledger module is designed to handle journal entries for various transactions that are not accounted for in other modules (A/P, Payroll etc.).

More information

Entering Cash Receipts

Entering Cash Receipts 1 Customers: Using CounterPoint Entering Cash Receipts Overview Cash receipts are entered when payments are received on customer accounts. This document explains how to enter cash receipts using Customers

More information

Managing the bank register

Managing the bank register Quick lesson For more information, see Help > Contents > Bank register. Managing the bank register Goal: Learn how to reconcile your bank register to your bank statement in Ajera. In this quick lesson

More information

County Accounting Manual

County Accounting Manual Transfer Funds County Accounting Manual Contents: Before Creating Transfer Transfer from Checking to Existing Savings Transfer from Checking to New Savings Move Money Direct Bank Transfer Move Money Write

More information

Work4Me Algorithmic Version 1st Web-Based Edition Problem Ten Accounting for Bad Debts

Work4Me Algorithmic Version 1st Web-Based Edition Problem Ten Accounting for Bad Debts Work4Me Algorithmic Version 1st Web-Based Edition Problem Ten Accounting for Bad Debts Page 1 Mike s Building Supplies, Incorporated CHART OF ACCOUNTS ASSETS REVENUE 101 Cash 401 Sales 105 Accounts Receivable

More information

Banner Finance. Self Service Manual

Banner Finance. Self Service Manual Banner Finance Self Service Manual 12/06/2011 Table of Contents Logging into Banner Finance Self Service... 2 Budget Queries... 5 Saving Budget Queries... 15 Encumbrance Queries... 21 Budget Transfers...

More information

Accounts Receivables Accruals

Accounts Receivables Accruals Accounts Receivables Accruals For FY13 June 14, 2013 Sonoma County of Education Information Technology References: 13.02 Release: Finance Processes Year End Closing Chapter 5 AR Invoices (see pages 5-18

More information

Getting Started Manual For GST

Getting Started Manual For GST Getting Started Manual For GST Last Update: Sept 05 Managed by Agile Matrix Solutions Sdn Bhd Email: support@treezsoft.com Page 5 For information about customer support, please visit our homepage at http://www.treezsoft.com

More information

Module 1: FINANCIAL MANAGEMENT SETUP

Module 1: FINANCIAL MANAGEMENT SETUP Table of Contents Introduction Microsoft Dynamics Courseware Overview...0-3 Student Objectives.0-4 Module 1: FINANCIAL MANAGEMENT SETUP Lesson 1: General Ledger Setup... 1-2 Lesson 2: Accounting Periods...

More information

eaglesoft V16: Adjustment Options

eaglesoft V16: Adjustment Options eaglesoft V16: Adjustment Options An adjustment is a correction to an account that is needed to change an account ledger entry that was either not previously posted or posted incorrectly. Preferences that

More information

Purchasing. MYOB Advanced Quick Guide Australian Tax and BAS Reporting. 20 Purchasing Overview. D120 Hands on Course

Purchasing. MYOB Advanced Quick Guide Australian Tax and BAS Reporting. 20 Purchasing Overview. D120 Hands on Course MYOB Advanced Quick Guide Australian Tax and BAS Reporting Purchasing D120 Hands on Course 20 Purchasing Overview D120 - Hands-on Purchasing Overview Page 1 of 18 Page 2 Table of Contents Table of Contents...

More information

Accounts Receivables Accruals

Accounts Receivables Accruals Accounts Receivables Accruals For FY18 June 20, 2018 Information Technology Understanding the Accrual Process The goal of year-end accrual process is to recognize revenues and expenses in the period in

More information

Version Setup and User Manual. For Microsoft Dynamics 365 Business Central

Version Setup and User Manual. For Microsoft Dynamics 365 Business Central Version 1.0.1.0 Setup and User Manual For Microsoft Dynamics 365 Business Central Last Update: October 26, 2018 Contents Description... 4 Features... 4 Cash Basis versus Accrual Basis Accounting... 4 Cash

More information

Chapter 8 Sunrise ibais User Manual BA Insurance Systems

Chapter 8 Sunrise ibais User Manual BA Insurance Systems Chapter 8 Sunrise ibais User Manual BA Insurance Systems Chapter 8 Table of Contents CHAPTER 8 - SUNRISE... 8-1 CONFIGURATION... 8-1 Before you Start... 8-1 SUNRISE PROCESSING... 8-2 Processing a Sunrise

More information

QuickBooks Training Clint A. Summers, CPA

QuickBooks Training Clint A. Summers, CPA QuickBooks Training Introduction & Professional Background EDUCATION: MERCER UNIVERSITY, Atlanta, GA Masters of Business Administration in Finance, 4.0 GPA - October 2002 KENNESAW STATE UNIVERSITY, Kennesaw,

More information

This module explains the setup of the General Ledger and of the Accounting Periods. Lessons

This module explains the setup of the General Ledger and of the Accounting Periods. Lessons MICROSOFT DYNAMICS NAV COURSE OUTLINE 1) MICROSOFT DYNAMICS NAV Course Details Course Outline Module 1: Finance Management Setup This module explains the setup of the General Ledger and of the Accounting

More information

The Chart of Accounts can be modified at any time. Existing accounts can be modified and new accounts can be added.

The Chart of Accounts can be modified at any time. Existing accounts can be modified and new accounts can be added. Chart of Accounts Maintenance Overview The Chart of Accounts can be modified at any time. Existing accounts can be modified and new accounts can be added. Navigate to: General Ledger>Maintenance>General>Chart

More information

GENERAL LEDGER TABLE OF CONTENTS

GENERAL LEDGER TABLE OF CONTENTS GENERAL LEDGER TABLE OF CONTENTS L.A.W.S. Documentation Manual General Ledger GENERAL LEDGER 298 General Ledger Menu 298 Overview Of The General Ledger Account Number Structure 299 Profit Center Processing

More information

QuickBooks Training Clint A. Summers, CPA

QuickBooks Training Clint A. Summers, CPA QuickBooks Training 2008 Clint A. Summers, CPA Introduction & Professional Background EDUCATION: MERCER UNIVERSITY, Atlanta, GA Masters of Business Administration in Finance, 4.0 GPA - October 2002 KENNESAW

More information

How to Document a Transfer of Funds in School Cash

How to Document a Transfer of Funds in School Cash How to Document a Transfer of Funds in School Cash The purpose of these work instructions are to provide guidance on recording a Transfer of Funds in School Cash. The guidance within these work instructions

More information

All About the General Ledger

All About the General Ledger All About the General Ledger Overview In a typical month the main functions under the GL menu (General Ledger) you will use are to verify receipts entered and record them onto deposit slips, reconcile

More information

Microsoft Dynamics GP Year-End Close. Manual

Microsoft Dynamics GP Year-End Close. Manual Microsoft Dynamics GP Year-End Close Manual 2017 Contact FMT Consultants Support Customer Care customercare@fmtconsultants.com (760) 930-6400 option 1 Sales Felipe Jara fjara@fmtconsultants.com (760) 930-6451

More information

CHAPTER 8: PERIOD-END PROCEDURES

CHAPTER 8: PERIOD-END PROCEDURES Chapter 8: Period-End Procedures CHAPTER 8: PERIOD-END PROCEDURES Training Objectives Actively participating in this chapter helps you: Understand the procedures that are completed at the end of an accounting

More information

Chapter Three Setting up General Ledger

Chapter Three Setting up General Ledger How to Restore Your Back up File: Chapter Three Setting up General Ledger Click File - Click Restore - Click Browse - Select Drive - Select Folder - Select the File - Click Open - Click Next - Tick New

More information

ACCOUNTS RECEIVABLE MENU

ACCOUNTS RECEIVABLE MENU ACCOUNTS ACCOUNTS The ACCOUNTS is used to track and manage the monies owed to a business by its customers. Invoices created by the ORDER/INVOICING and the CYLINDER CONTROL can be automatically posted to

More information

Credit Card Payments in A/P

Credit Card Payments in A/P Credit Card Payments in A/P Overview The best way to handle payment Demand/Hand Checks function. of invoices with a credit card is to use the Accounts Payable There are several setup steps required before

More information

Chapter 6. Cash Control

Chapter 6. Cash Control Chapter 6 Cash Control This Page Left Blank Intentionally CTAS User Manual 6-1 Cash Control: Introduction The Cash Control section allows you to enter the beginning balances for the fiscal year. This section

More information

FINANCIAL RECONCILIATION

FINANCIAL RECONCILIATION FINANCIAL RECONCILIATION At the end of each financial period it is important that a financial reconciliation is completed to ensure that all system balances in the G/L are accurate and match the transactions

More information

Nexsure Training Manual - Accounting. Chapter 16

Nexsure Training Manual - Accounting. Chapter 16 Nexsure Training Manual - Accounting Month-End Review In This Chapter Overview Analyzing Month-End Financial Reports Month-End Accounting & Management Reports Month-End Balancing Month-End Corrections

More information

Activant Prophet 21 Overview of Prophet 21 version 11 New Features: Accounting

Activant Prophet 21 Overview of Prophet 21 version 11 New Features: Accounting Activant Prophet 21 Overview of Prophet 21 version 11 New Features: Accounting Overview of Prophet 21 v11 New Features suite Course: 3 of 3 This class is designed for Accounting Personnel Accounts Payable

More information

DE ANZA COLLEGE ACCOUNTING 1A EXTRA CREDIT ASSIGNMENT. (Manual Case, and Working Papers) Scott Osborne, CPA

DE ANZA COLLEGE ACCOUNTING 1A EXTRA CREDIT ASSIGNMENT. (Manual Case, and Working Papers) Scott Osborne, CPA DE ANZA COLLEGE ACCOUNTING 1A EXTRA CREDIT ASSIGNMENT (Manual Case, and Working Papers) by Scott Osborne, CPA 1 EXPLANATION OF EXTRA CREDIT ASSIGNMENT The extra credit assignment consists of a manual accounting

More information

The values within the DMS can be held as consolidated totals if required, as any individual items can be extracted from the Service Plan System.

The values within the DMS can be held as consolidated totals if required, as any individual items can be extracted from the Service Plan System. VERSION 3.1.1 The principle idea of the accounting system is to mirror the balance sheet values held within the edynamix Service Plan system with those held on the Dealer Management System (DMS) balance

More information

This training guide will demonstrate the Client Site Budgeting Tool.

This training guide will demonstrate the Client Site Budgeting Tool. This training guide will demonstrate the Client Site Budgeting Tool. The Budgeting Tool allows you, on your client site, to build out an individual or an overall comprehensive budget. This is done by mapping

More information

v.5 Accounts Receivable: Best Practices

v.5 Accounts Receivable: Best Practices v.5 Accounts Receivable: Best Practices (Course #V212) Presented by: Bill Ballou Training Manager Shelby Systems 2017 Shelby Systems, Inc. Other brand and product names are trademarks or registered trademarks

More information

Finance Essentials in Microsoft Dynamics NAV 2013

Finance Essentials in Microsoft Dynamics NAV 2013 Course 80534A: Finance Essentials in Microsoft Dynamics NAV 2013 Course Details Course Outline Module 1: Finance Management Setup This module explains the setup of the General Ledger and of the Accounting

More information

Checkbook Table of Contents. Receive Money Overview Spend Money Overview

Checkbook Table of Contents. Receive Money Overview Spend Money Overview Checkbook Table of Contents Receive Money Overview Spend Money Overview Changing Receive Money transactions To change a Receive Money transaction To change a recurring Receive Money template's name or

More information

INTUIT PROA DVISOR PR O G RAM. QuickBooks Desktop Certification

INTUIT PROA DVISOR PR O G RAM. QuickBooks Desktop Certification INTUIT PROA DVISOR PR O G RAM QuickBooks Desktop Certification Getting Started Guide Table of Contents TABLE OF CONTENTS QuickBooks ProAdvisor Training Objectives... 1 What s in the Workbook?... 2 Chapter

More information

Procedures & Tips and Tricks For End of Year Process

Procedures & Tips and Tricks For End of Year Process Procedures & Tips and Tricks For End of Year Process Creating New Fiscal Period When the End of Year process is run the EbixASP program will automatically create the new fiscal period (if you have not

More information

Sage 50 US Edition Payroll year-end checklist

Sage 50 US Edition Payroll year-end checklist Sage 50 US Edition Payroll year-end checklist Helpful articles on https://support.na.sage.com: How to install tax formulas and tax form updates Article ID 10193 How do I print reports? Article ID 35183

More information

Sundry Debtor Invoices & Credit Notes

Sundry Debtor Invoices & Credit Notes Cheops Task Instruction Sundry Debtor Invoices & Credit Notes File Location: Z:\Data\Altason\iCanstruct\Task Instructions - Issued\22 - Progress Claim Schedules.docx P25 Last Revised: 6-Nov-16 This Task

More information

Suppliers and Expenses Part I

Suppliers and Expenses Part I QuickBooks Online Student Guide Chapter 4 Suppliers and Expenses Part I Chapter 2 Chapter 4 In this chapter, you ll learn the steps necessary to set up suppliers, enter expenses, and track bills in QuickBooks

More information

MAINTAIN BANKS: Page 1 of 10

MAINTAIN BANKS: Page 1 of 10 MAINTAIN BANKS: Bank ID is tied to one or more processes in CYMA (GL,AP,AR,PR,EFT) Must have one Bank ID set for EFT even if the company does not do EFT GL Account is a one-to-one relationship with a Bank

More information

Livestock Office Native Accounting

Livestock Office Native Accounting Livestock Office Native Accounting 12/04/2017 Contents Native Accounting... 2 General Ledger... 3 G/L Codes... 3 G/L Code Budgets... 4 G/L Tree... 5 G/L Journals... 6 Bank Accounts... 7 Bank Statements...

More information

BSBADM308A Process Payroll Topic notes. Superannuation categories - used to calculate an employee s superannuation.

BSBADM308A Process Payroll Topic notes. Superannuation categories - used to calculate an employee s superannuation. (1) What are Payroll Categories? In MYOB, there are six types of Payroll Categories: Wage categories - used to pay an employee. Superannuation categories - used to calculate an employee s superannuation.

More information

Accounts Receivables Accruals

Accounts Receivables Accruals Accounts Receivables Accruals For FY14 June 18, 2014 Information Technology References: 14.02 Release: Finance Processes Year End Closing Chapter 5 AR Invoices (see pages 5-19 to 5-24) Home Page Help from

More information

Creating budget worksheets

Creating budget worksheets Creating budget worksheets You can also go to Activities>Budget worksheet from the top menu Note: You can also enter budgets through Transactions enter budgets either manually or by importing the data

More information

Church Accounting Icon Systems Inc.

Church Accounting Icon Systems Inc. IconCMO Church Software by Icon Systems Inc. All rights reserved. No parts of this work may be reproduced in any form or by any means - graphic, electronic, or mechanical, including photocopying, recording,

More information

Petunia Patch. Module 5. Adjusting and Closing Entries For the Quarter Ended June 30. Level 1. 1 st Web-Based Edition

Petunia Patch. Module 5. Adjusting and Closing Entries For the Quarter Ended June 30. Level 1. 1 st Web-Based Edition Petunia Patch Level 1 1 st Web-Based Edition Module 5 Adjusting and Closing Entries For the Quarter Ended June 30 Page 1 ADJUSTING ENTRIES FOR THE QUARTER Using a copy of the June 30 Trial Balance After

More information

Standard ERP Cheques Version 8.0, Mac OS December 2014

Standard ERP Cheques Version 8.0, Mac OS December 2014 Standard ERP Cheques Version 8.0, Mac OS December 2014 Table of Contents CHEQUE MODULE OVERVIEW...3 SETUP...4 Account Usage, Cheques...4 Cheque Control Accounts...4 Cheque Settings...6 Clearing Days...6

More information

Setting up Dept Budgets in Spider

Setting up Dept Budgets in Spider Setting Up Department Budgets in Spider Introduction PCSchool provides the facility for Heads of Department (HOD) to view their department budgets and drill down on income and expenditure totals. Financial

More information

Sage Tax Services User's Guide

Sage Tax Services User's Guide Sage 300 2017 Tax Services User's Guide This is a publication of Sage Software, Inc. Copyright 2016. Sage Software, Inc. All rights reserved. Sage, the Sage logos, and the Sage product and service names

More information

Sage Bank Services User's Guide. May 2017

Sage Bank Services User's Guide. May 2017 Sage 300 2018 Bank Services User's Guide May 2017 This is a publication of Sage Software, Inc. 2017 The Sage Group plc or its licensors. All rights reserved. Sage, Sage logos, and Sage product and service

More information