ACADEMY: FINANCIAL ACCOUNTING FI PAPER - 12

Size: px
Start display at page:

Download "ACADEMY: FINANCIAL ACCOUNTING FI PAPER - 12"

Transcription

1 1. Company codes attached to the same controlling area have a. same operational COA b. same country COA c. same group COA d. different operational COA 2. every transaction results in a document 3. the field status of the text field in the header of a document is controlled by a. account type b. document type c. field status group d. posting key 4. which of the statements are true a. SAP supports a maximum of 999 line items b. SAP supports a minimum of 1 line item (except for noted item) c. The transaction figures in a document need to match 5. Cross company posting is possible for companies with different COA a. Completely true b. Completely false 6. Reconciliation accounts are updated on a daily basis 7. the field status of the field group account number in the G/L master is controlled by the account group 8. the field status of the fields in the company code data are controlled by a. account group b. account type c. transaction/activity type d. chart of accounts 9. the rates of tax is defined in the account key 10. the alternative account number is a free flowing field 1

2 11. set data sets the dcata permanently in the system, whereas the hold data function does it till the session is on 12. when the same field has both a validation rule and a substitution rule a. It causes an error b. validation takes priority c. substitution takes priority d. the rule that was created first takes priority 13. the cross company code transaction number is taken from its document type 14. for every G/L account, a primary cost element needs to be created immediately if the company code is assigned to a controlling area 15. a fiscal year that is a same as a calendar year needs a year dependent fiscal year variant 16. many business areas can be assigned to one company code 17. every company code can have only one cash journal 18. every line item of a document needs to have a unique posting key 19. the document number range for reconciliation accounts can have external numbering 2

3 20. if business area balance sheets are enabled for a company code, then the field business area in the account assignment screen can be a. suppressed b. optional c. display d. required 21. field status groups are created at the client level 22. there can be any number of posting periods open for a company code 23. posting periods can be closed automatically by giving a deadline date 24. keeping posting period for account type + open allows a. creating a document header for the posting period b. creating all line items for the posting period c. creating line items for account types which have been assigned to + d. creating line items for account types whose posting period is open 25. a vendor invoice needs a GR to be posted 26. for getting the transaction figures for an account line item display needs to be activated 27. all line item display accounts need to be open item managed 28. documents cannot be reversed a. if the company code does not allow negative postings b. if document type does not allow negative postings c. if the document type does not have a reversal document type attached to it d. if no reversal reason is created and assigned 29. base line date is 3

4 a. the document date b. posting date c. entry date d. all of the above e. any of the above ACADEMY: FINANCIAL ACCOUNTING 30. base currency is assigned to the company code 31. tax calculation rules are controlled by a. condition types b. account key c. tax code d. tax procedures 32. every company code must have a. operational COA b. a country COA c. a group COA d. at least two COAs 33. the account group must be for P&L items for accounts which are P&L accounts 34. every house bank needs to have at least one account id 35. bank G/L accounts are assigned to house banks, and all accounts under the house bank have the same G/L account c. partially false d. completely false 36. the user can create his own transactions types for cash journal business transactions 37. noted items a. create only one line item b. need to be identified in the special G/L transaction type as a noted item c. are always available for credit control 38. which of the following statements are true a. special G/L items post into a separate reconciliation account b. the reconciliation account for the special G/L transactions is defined per company code c. statistical postings create only one line item KEY 4

5 1. A,C 2. B 3. B 4. A,C 5. A 6. C 7. C 8. A,C 9. C 10. A 11. A 12. C 13. C 14. C 15. C 16. C 17. C 18. C 19. C 20. C 21. C 22. B 23. C 24. A 25. C 26. C 27. C 28. D 29. E 30. C 31. D 32. A 33. C 34. A 35. D 36. C 37. A,B 38. A 5

ACADEMY: FINANCIAL ACCOUNTING FI PAPER What are the essentials of SAP s product strategy ( in just a few words)

ACADEMY: FINANCIAL ACCOUNTING FI PAPER What are the essentials of SAP s product strategy ( in just a few words) mysap Business Suite overview ACADEMY: FINANCIAL ACCOUNTING 1. What are the essentials of SAP s product strategy ( in just a few words) 2. MySAP business suite contains the following: (Choose the right

More information

Financial Accounting and Management Accounting: Overview

Financial Accounting and Management Accounting: Overview UNIT 4 Financial Accounting and Management Accounting: Overview Lesson 1 Explaining Financial Accounting (FI) 94 Lesson 2 Explaining Management Accounting (CO) 103 Lesson 3 Outlining the Integration Between

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

Useful SAP reports for SAP FI module:

Useful SAP reports for SAP FI module: Useful SAP reports for SAP FI module: S_ALR_87012279: Structured Account Balances (Balance Sheet & P&L Account in FS Version Format S_ALR_87012301: GL Account Balances (Totals & Balances )S_ALR_87012282

More information

Munis Year to Date Budget Report

Munis Year to Date Budget Report Munis Year to Date Budget Report Procedural Documentation For more information, visit www.tylertech.com. Year-to-Date Budget Report Objective This document provides instructions for generating a year-to-date

More information

SAP is a trademark of SAP AG, Neurottstrasse 16, Walldorf, Germany.

SAP is a trademark of SAP AG, Neurottstrasse 16, Walldorf, Germany. 2005-2006 sapficoconsultant.com. All rights reserved. No part of this e-book should be reproduced or transmitted in any form, or by any means, electronic or mechanical including photocopying, recording

More information

Financial Advisory Services & Training Financial Services Department

Financial Advisory Services & Training Financial Services Department Work Instruction Post with Reference FBR2 When to Use Steps Menu Path Use this procedure to use a previously posted document to: Post corrections or adjustments Partially reverse a previously posted document

More information

STUDIO DESIGNER. Accounting 2 Participant

STUDIO DESIGNER. Accounting 2 Participant Accounting 2 Participant Thank you for enrolling in Accounting 2 for Studio Designer. Please feel free to ask questions as they arise. If we start running short on time, we may hold off on some of them

More information

Introducing AP Payment Manager MUNIS - Financials: Accounts Payable

Introducing AP Payment Manager MUNIS - Financials: Accounts Payable Introducing AP Payment Manager MUNIS - Financials: Accounts Payable CLASS DESCRIPTION This session will focus on the new functionality of the AP Payment Manager. Not your momma s check run process; the

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

Financial Accounting (FI)

Financial Accounting (FI) ADDON.IDESFI Release 4.6C SAP AG Copyright Copyright 2001 SAP AG. All rights reserved. No part of this publication may be reproduced or transmitted in any form or for any purpose without the express permission

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

Prophet 21 Acclaim Preparing Your System for Payables Processing

Prophet 21 Acclaim Preparing Your System for Payables Processing AP Suite: course 1 of 3 Prophet 21 Acclaim Preparing Your System for Payables Processing This class is designed for Acclaim users responsible for determining and implementing how accounts payable are to

More information

Martin Ullmann. Maximizing SAP. ERP Financials Accounts Payable. Bonn Boston

Martin Ullmann. Maximizing SAP. ERP Financials Accounts Payable. Bonn Boston Martin Ullmann Maximizing SAP ERP Financials Accounts Payable Bonn Boston Contents at a Glance 1 Vendor Master Data... 23 2 Accounting Document Principles... 83 3 Business Transactions in Accounts Payable...

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

Turkey HELP.CAINTTR. Release 4.6C

Turkey HELP.CAINTTR. Release 4.6C HELP.CAINTTR Release 4.6C SAP AG Copyright Copyright 2001 SAP AG. All rights reserved. No part of this publication may be reproduced or transmitted in any form or for any purpose without the express permission

More information

Munis Account Trial Balance

Munis Account Trial Balance Munis Account Trial Balance Procedural Documentation For more information, visit www.tylertech.com. Account Trial Balance Report Objective This document provides the procedure for completing the Account

More information

Preparing for Financial Management Activities. Defining and Maintaining Currencies and Currency Rates

Preparing for Financial Management Activities. Defining and Maintaining Currencies and Currency Rates INFO.NET V7.0 LAMAR SOFTWARE, INC. SPECIALISTS IN MANUFACTURING AND DISTRIBUTION General Ledger Module Introduction The INFO.NET General Ledger Module controls all chart of accounts Edit, budgeting, and

More information

Inflation Accounting HELP.CAINTINFLATION. Release 4.6C

Inflation Accounting HELP.CAINTINFLATION. Release 4.6C HELP.CAINTINFLATION Release 4.6C SAP AG Copyright Copyright 2001 SAP AG. All rights reserved. No part of this publication may be reproduced or transmitted in any form or for any purpose without the express

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

Budget Transaction Cycle & Postings

Budget Transaction Cycle & Postings Budget Transaction Cycle & Postings The cycle Entry of Budget Creation of Purchase Requisition Creation of Purchase Order Entry of Goods Receipt Entry of Invoice Receipt Payment of Invoice Clearing of

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

MSI Accounts Payable Version 5.0 Treasurer s Report Processing

MSI Accounts Payable Version 5.0 Treasurer s Report Processing MSI Accounts Payable Version 5.0 Treasurer s Report Processing User s Guide Municipal Software, Inc. 1850 W. Winchester Road, Ste 209 Libertyville, IL 60048 Phone: (847) 362-2803 Fax: (847) 362-3347 Contents

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

Cost and Revenue Element Accounting Chapter 4 Cost and Revenue Element Accounting Cost Elements Primary Cost and Revenue Elements primary cost

Cost and Revenue Element Accounting Chapter 4 Cost and Revenue Element Accounting Cost Elements Primary Cost and Revenue Elements primary cost Cost element accounting records and groups the costs incurred during a particular settlement period. This is not so much cost accounting as it is the organized recording that is its basis. With the R/3

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

SAS2000. Financial 2. Training Manual

SAS2000. Financial 2. Training Manual SAS2000 Financial 2 Training Manual Tribal SchoolEdge Level 1, 17 Madden Grove RICHMOND VIC 3121 Support Centre: Web: https://support.schooledge.com.au/ Email: support.schooledge@tribalgroup.com Tel: 1300

More information

Munis General Ledger. Procedural Documentation. For more information, visit

Munis General Ledger. Procedural Documentation. For more information, visit Munis General Ledger Procedural Documentation For more information, visit www.tylertech.com. TABLE OF CONTENTS Chart Manager... 3 Account Master... 12 General Journal Entry/Proof... 25 Recurring General

More information

CURRENCY HEDGING Copyright Framework Private Equity Investment Data Management Ltd

CURRENCY HEDGING Copyright Framework Private Equity Investment Data Management Ltd CURRENCY HEDGING Copyright Framework Private Equity Investment Data Management Ltd - 2016 Table of Contents Introduction and Prerequisites... 3 : Introduction... 4 Prerequisites to Post Transactions...

More information

Cashflow Management & Forecasting Module

Cashflow Management & Forecasting Module Cashflow Management & Forecasting Module Introduction The careful management of your cashflow is fundamental to managing your business, especially in these more difficult economic times. Depending on your

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

Expense Management Posting Setup

Expense Management Posting Setup Expense Management Posting Setup When deciding what posting setup fits your needs then there are few decisions to be taken: 1. What should be the output of posting? Do you want to create a Purchase Invoice

More information

PROCESS AN ENROLMENT RELATED PAYMENT THROUGH CASH DESK

PROCESS AN ENROLMENT RELATED PAYMENT THROUGH CASH DESK PROCESS AN ENROLMENT RELATED PAYMENT THROUGH CASH DESK. Introduction The purpose of this QRG is to explain how to process an enrolment related payment through Cash Desk. For instructions to attach a people

More information

VisionVPM General Ledger Module User Guide

VisionVPM General Ledger Module User Guide VisionVPM General Ledger Module User Guide Version 1.0 VisionVPM user documentation is continually being developed. For the most up-to-date documentation please visit the VisionVPM website at www.visionvpm.com

More information

Technical Note: Reconciling the AP Past-Due Aging Report and Accounts Payable GL Account Balance

Technical Note: Reconciling the AP Past-Due Aging Report and Accounts Payable GL Account Balance Article # 1152 Technical Note: Reconciling the AP Past-Due Aging Report and Accounts Payable GL Account Balance Difficulty Level: Intermediate Level AccountMate User Version(s) Affected: AccountMate 6/6.5

More information

CLARK COUNTY SCHOOL DISTRICT

CLARK COUNTY SCHOOL DISTRICT CLARK COUNTY SCHOOL DISTRICT Innovative Teaching and Learning Unit Technology & Information Systems Services Division Department TABLE OF CONTENTS UWL Environment... Right-Click Functions... 4 Right-Click

More information

Funds Available Report of Transactions

Funds Available Report of Transactions Funds Available Report of Transactions The Funds Available Report of Transactions is a budget purpose-specific, object-code based listing of revenues, expenditures, payments, and other transactions posted

More information

CHAPTER 9 DUNNING CONFIG AND EXECUTION

CHAPTER 9 DUNNING CONFIG AND EXECUTION Table of Contents 1 Introduction...2 2 Dunning procedure - FBMP...3 2.1 Maintain Dunning Procedure...3 2.2 Dunning Procedure...3 2.3 Dunning Levels...4 2.4 Charges...5 2.5 Minimum Amounts...5 2.6 Dunning

More information

Recurring Payments. Navigate to: Accounts Payable>File Maintenance/Lists>Recurring Payments

Recurring Payments. Navigate to: Accounts Payable>File Maintenance/Lists>Recurring Payments Recurring Payments Overview Recurring payments can be created for payments that should be generated on a user-defined periodic basis. Recurring payments are typically set up for payments that are a fixed

More information

Setting up a new company

Setting up a new company Setting up a new company This guide will show you how to create a new company within your current subscription. As a subscription owner or administrator, you can create multiple company flies under the

More information

Unit: Banking Topic: Incoming Payments. Field Name or Data Type. Due Date < Past date >

Unit: Banking Topic: Incoming Payments. Field Name or Data Type. Due Date < Past date > Solutions Unit: Banking Topic: Incoming Payments 1-1 Incoming Payment (using cash payment means) 1-1-1 Create an A/R Invoice Choose Sales A/R A/R Invoice. Due Date < Past date > Post this invoice to any

More information

Budget Maintenance & Capital Budget Creation

Budget Maintenance & Capital Budget Creation Budget Maintenance & Capital Budget Creation FM_BUD_300 1 Course Navigation Use the following steps to print instructions for navigating this course: Click Attachments (upper right corner) Click QRC Course

More information

STRUMS. SAP Financial Accounting (FI) Boot camp. Day 1

STRUMS. SAP Financial Accounting (FI) Boot camp. Day 1 v STRUMS SAP Financial Accounting (FI) Boot camp Day 1 Copyright 1 2008 Astrums All rights reserved. Astrums, its logo, and Experience the Excellence are trademarks of Astrums. Agenda Day 4 Asset Accounting

More information

Prepared by S. N. Padhi, ACA Reviewed by: Experienced Consultants

Prepared by S. N. Padhi, ACA Reviewed by: Experienced Consultants A COMPLETE GUIDE TO ACCOUNTS RECEIVABLE PART-I INCLUDES DEFINATIONS, CUSTOMIZATION STEPS, USER MANUAL TRANSACTION CODES, FAQ S Prepared by S. N. Padhi, ACA Reviewed by: Experienced Consultants Copyright

More information

FI Budget Transfers. This page intentionally left blank. Rev: 09/03/ Office of Information Technology 2

FI Budget Transfers. This page intentionally left blank. Rev: 09/03/ Office of Information Technology 2 Budget Transfers This page intentionally left blank. Rev: 09/03/2015 2015 Office of Information Technology 2 Table of Contents Overview...4 ZFMBBT...5 Settings...5 Create Budget Transfer...7 Split screen...7

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

Understanding the Accounting Side of Material Management. Presented By: Debbie Waggoner, GCS Premier Sr. Systems Consultant, WJ Technologies, LLC

Understanding the Accounting Side of Material Management. Presented By: Debbie Waggoner, GCS Premier Sr. Systems Consultant, WJ Technologies, LLC Understanding the Accounting Side of Material Management Presented By: Debbie Waggoner, GCS Premier Sr. Systems Consultant, WJ Technologies, LLC Session Overview Understanding what types of transactions

More information

Advanced Financial Statements

Advanced Financial Statements Sage 100 Fund Accounting Advanced Financial Statements STUDENT WORKBOOK SAGE LEARNING SERVICES Important Notice: Authentic Sage 100 Fund Accounting training guides display a holographic image on the front

More information

FI_200 Financial Overview Student Guide

FI_200 Financial Overview Student Guide Financial Overview FI_200 Use the forward button below ( ) to advance through the slides. Prerequisites and Roles Prerequisite UK_100 IRIS Awareness & Navigation If you have not completed UK_100, please

More information

Welcome to the period end closing topic.

Welcome to the period end closing topic. Welcome to the period end closing topic. 1 In this course we will discuss how to prepare for and perform period-end closing. 2 Imagine that your company creates an annual financial statement once a year.

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

Use Tax. Set up the state taxing information and tax rate. Multiple state taxes can be set up.

Use Tax. Set up the state taxing information and tax rate. Multiple state taxes can be set up. Use Tax Overview Sales Tax is collected on tangible property and certain services (depending on the local tax laws), by the seller/rental agent on behalf of the state, county, or municipality; however,

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

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

Software Upgrade GST Standard-Rated 6% to 0%

Software Upgrade GST Standard-Rated 6% to 0% Software Upgrade GST Standard-Rated 6% to 0% [Optimum] [1.0] Roseanne Lee [24/5/2018] Doc No : 1 Page No: 1 of 10 REV. No Nature of Change Prepared By Prepared Date Reviewed & Approved by 1.0 Article Created

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

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

12 Months Master Pay Scale Salary Table

12 Months Master Pay Scale Salary Table B-1 Master Pay Scale Salary Table 2017-2018 An employee who does not earn a credited year of service and/or who remains on the same pay step for any other reason (such as being at the maximum pay step)

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

XII. Reconciling Monthly Statements

XII. Reconciling Monthly Statements XII. Reconciling Monthly Statements A. Overview Financial information is available to all department and project managers to help them keep track of actual and anticipated expenditures as compared to their

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

FINANCIAL SYSTEM ENHANCEMENTS REPORT FUNDAMENTALS

FINANCIAL SYSTEM ENHANCEMENTS REPORT FUNDAMENTALS FINANCIAL SYSTEM ENHANCEMENTS REPORT FUNDAMENTALS Please select the interactive polling option you would like to use: From your laptop: Navigate to PollEv.com/chartofaccou508 From your cell: Send a text

More information

CENTRAL SUSQUEHANNA INTERMEDIATE UNIT Application: Fund Accounting

CENTRAL SUSQUEHANNA INTERMEDIATE UNIT Application: Fund Accounting CENTRAL SUSQUEHANNA INTERMEDIATE UNIT Application: Fund Accounting Step-by-step Instructions 2013 Central Susquehanna Intermediate Unit, USA Table of Contents Introduction... 1 Liquidating Encumbrances...

More information

Florida Department of Financial Services FLAIR Procedures Manual. Year-End Processing Chapter 700

Florida Department of Financial Services FLAIR Procedures Manual. Year-End Processing Chapter 700 Florida Department of Financial Services FLAIR Procedures Manual Year-End Processing Chapter 700 Revised January 2018 Table of Contents 700 Monthly and Year-End Processing...1 701 General Accounting Function...1

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

Module: Budget Processing Topic: Next Year Budget Entry Next Year Budget Entry Munis Version 11

Module: Budget Processing Topic: Next Year Budget Entry Next Year Budget Entry Munis Version 11 Module: Budget Processing Topic: Next Year Budget Entry Next Year Budget Entry Munis Version 11 Objective This document provides instructions on how to enter next year budget requests. Overview Departments

More information

Departmental Budget Request (DBR) Office of Budgets & Reconciliations

Departmental Budget Request (DBR) Office of Budgets & Reconciliations Departmental Budget Request (DBR) Office of Budgets & Reconciliations Training Topics By the end of the session you will know how to: Access Canopy Log into Canopy Create a Departmental Budget Request

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

Financial Systems Date version: 7 July 2011

Financial Systems Date version: 7 July 2011 Financial Systems Date version: 7 July 2011 VAT Functionality Enhancements- All Affected Modules Background The assignment of VAT (GST) when processing financial information is difficult and time consuming

More information

Project Variation Management Solutions with Noveco epm

Project Variation Management Solutions with Noveco epm Project Variation Management Solutions with Noveco epm Integrated Project Management in SAP * Project Reporting Profit Take (Result Analysis) Dashboard reporting Portfolio Planning Reporting and Analysis

More information

From the edienterprise suite of Forwarding and Logistics Software

From the edienterprise suite of Forwarding and Logistics Software From the edienterprise suite of Forwarding and Logistics Software Accounts Setups From the edienterprise suite of Forwarding and Logistics Software Eagle Datamation International Pty Ltd Level 2, 184 Bourke

More information

The new procedures, which require using AR and AP, are described below.

The new procedures, which require using AR and AP, are described below. From: Diane Kepler [diane.kepler@undp.org] Sent: Wednesday, December 07, 2005 11:44 PM To: 'Finance Network' Cc: 'Belinda Rivera'; 'Martha Solorzano'; 'Aaron Chang' Subject: New procedures for recording

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

SUMMARY OF 2016 YEAR- END PROCESSING FOR TOPS IQ & TOPS PROFESSIONAL

SUMMARY OF 2016 YEAR- END PROCESSING FOR TOPS IQ & TOPS PROFESSIONAL SUMMARY OF 2016 YEAR- END PROCESSING FOR TOPS IQ & TOPS PROFESSIONAL This document summarizes the steps required to close the books for the calendar year ending December 31, 2016. This procedure will cover

More information

Activant Prophet 21. Cash and Bank Reconciliation

Activant Prophet 21. Cash and Bank Reconciliation Activant Prophet 21 Cash and Bank Reconciliation This class is designed for Customers who want to learn the Bank Reconciliation feature to facilitate balancing deposits and disbursements to your bank statement.

More information

ACCOUNTS RECEIVABLE. Contents. Finance Receivables Update Invoice

ACCOUNTS RECEIVABLE. Contents. Finance Receivables Update Invoice Contents Finance Receivables Update Invoice... 1 Finance Receivables Update Payments... 5 Finance Receivables Update AR to AP... 7 Finances Receivables Update Collections... 8 INQUIRIES AND REPORTS...

More information

Tally.ERP 9 Series A Release 1.5 Stat.900 Version 90. Release Notes

Tally.ERP 9 Series A Release 1.5 Stat.900 Version 90. Release Notes Tally.ERP 9 Series A Release 1.5 Stat.900 Version 90 Release Notes August 28, 2009 The information contained in this document is current as of the date of publication and subject to change. Because Tally

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

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

How to guide Fiscal year end closing

How to guide Fiscal year end closing How to guide Fiscal year end closing This document is designed to be an overview of the Year End Closing function. The Preliminary Setup samples are just a few of the system setup configurations that are

More information

BUDGET TRANSFER MODULE

BUDGET TRANSFER MODULE BANNER TRAINING MATERIALS BUDGET TRANSFER MODULE TABLE OF CONTENTS Introduction and Overview... 1 Conditions/Restrictions for Budget Transfer Requests... 2 Entering a Budget Transfer Request (BUD quickflow)...

More information

Enterprise by HansaWorld Accounting Basic

Enterprise by HansaWorld Accounting Basic Enterprise by HansaWorld Accounting Basic Version 7.2, Mac OS X August 2014 Table of Contents INTRODUCTION...4 Bookkeeping...4 Single Entry / Double Entry...4 Chart of accounts...4 The five types of accounts...4

More information

Munis Budget. Procedural Documentation for East Stroudsburg Area School Disctrict. or more information, visit

Munis Budget. Procedural Documentation for East Stroudsburg Area School Disctrict. or more information, visit Munis Budget Procedural Documentation for East Stroudsburg Area School Disctrict or more information, visit www.tylertech.com. TABLE OF CONTENTS Central Budget Entry... 4 Next Year Budget Reports... 13

More information

1 Introduction. Integration

1 Introduction. Integration VAT South Africa Contents 1 Introduction... 3 2 Solution Proposal... 4 2.1 Customizing... 4 2.1.1 Maintain Version Time-Dependent Version Assignment (View V_T007Z)... 4 2.1.2 Maintain Table for Grouping

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

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

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 Bank Services User's Guide

Sage Bank Services User's Guide Sage 300 2017 Bank 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

CHAPTER 2: GENERAL LEDGER

CHAPTER 2: GENERAL LEDGER Chapter 2: General Ledger CHAPTER 2: GENERAL LEDGER Objectives Introduction The objectives are: Explain the use of the Chart of Accounts in Microsoft Dynamics NAV 5.0. Explain the elements of the G/L Account

More information

ACCOUNTS RECIEVABLE (DEBTOR REFUNDS)

ACCOUNTS RECIEVABLE (DEBTOR REFUNDS) ACCOUNTS RECIEVABLE (DEBTOR REFUNDS) SUMMARY Quite often, a client may request additional money be added to the contract price of a project so the money is paid by the bank via the set claim stages and

More information

Your Business Finances

Your Business Finances ASi Simple Start tto Managing Your Business Finances A Guide to the Essentials QB_05/2005_01 Financial Management Essentials 1. Introduction to Financial Management 2. Why Accounts are Important 3. Using

More information

FI-AA GL-1 Clearing open balances & items in GL (AR Due to Due From) Table of Contents

FI-AA GL-1 Clearing open balances & items in GL (AR Due to Due From) Table of Contents FI-AA GL-1 Clearing open balances & items in GL 19401010 (AR Due to Due From) Table of Contents Overview... 2 Clearing GL accounts related to Transfer of an Asset:... 3 Step 1: Ensure you have the correct

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

FI: Down payments- from creation to clearing

FI: Down payments- from creation to clearing FI: Down payments- from creation to clearing Contents A. Overview... 2 B. DOWN PAYMENTS ON PURCHASE ORDERS (PO)... 5 B1. F-47 Raising a Downpayment related to a PO... 5 B2. Pay the Down payment using F110

More information

My Grant Expenses. May 19, Last modified: 05/19/16 1/11 Boston University

My Grant Expenses. May 19, Last modified: 05/19/16 1/11 Boston University My Grant Expenses May 19, 2016 Last modified: 05/19/16 1/11 Boston University Contents Introduction to My Grant Expenses... 3 How to Run My Grant Expenses... 3 Report Overview... 4 Report Panel 1: Grants

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

Enter Bills / Pay Bills

Enter Bills / Pay Bills There are three ways to make purchases and pay for them in equinegenie. (1) Purchase and pay for a horse service, activity or task on a horse screen. This enables equinegenie to associate a horse with

More information

TOOLBOX FUNCTION: Import G/L Budget Entries

TOOLBOX FUNCTION: Import G/L Budget Entries TOOLBOX FUNCTION: Document Ref: TBO-005 Date: Jun 12 2002, rev. 05/02/05, 07/05/07, 01/22/14 Document Version: 0.4 Modules Affected: Earliest available version of COINS: Documentation Updated: General

More information

Croatia Fiscalization Fiscalization in Financial Accounting

Croatia Fiscalization Fiscalization in Financial Accounting Croatia Fiscalization Fiscalization in Financial Accounting PUBLIC Croatia Fiscalization 1 Copyright Copyright 2013 SAP AG. All rights reserved. SAP Library document classification: PUBLIC No part of this

More information

PACS. Financials. Training Activity Guide

PACS. Financials. Training Activity Guide PACS Financials Training Activity Guide Human Edge Software Corporation Pty Ltd 427 City Road South Melbourne Vic 3205 Support Centre: Web: http://support.humanedge.biz/ Tel: 1300 301 931 (calls from Australia)

More information