Enhanced General Ledger Quick Steps version 8.016

Size: px
Start display at page:

Download "Enhanced General Ledger Quick Steps version 8.016"

Transcription

1 Enhanced General Ledger Quick Steps version 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.). This module is the hub of the Enhanced software system. For your convenience, many of the NYS Uniform System of Accounts, Fund types and various Federal and State required reports have been preloaded. Select only the codes/funds that you need (add any new ones that you may require). 1 Accounting Period Setup System Utilities Module Data Entry Tab Add/Edit G/L Accounting Periods Once the Enhanced program has been installed, the SYSTEM SETUP screen will appear. The Accounting Period Setup will need to be completed. Click OK and enter the number of Annual Periods first (i.e. Monthly, 12 periods) by clicking on the appropriate radio button. Now, click on File (toolbar) then New, and enter the appropriate fiscal year. Click OK. File Note: You will need to enter the prior fiscal year as well as the current fiscal year. Entering the prior fiscal year will allow you to establish ending balances from the previous year. Note: Once the accounting periods have been selected, the number of accounting periods cannot be changed, and all future fiscal years must use the same accounting period structure. Save information by clicking the Close icon (on the toolbar). Note: New accounting periods will need to be built at the beginning of each fiscal year. Simply return to the Systems Utilities module (as directed above). See following page. Select the Data Entry Tab click on Add/Edit G/L Accounting Periods. Click New (upper left) enter the new fiscal year and click on OK. Exit the screen by clicking the Close icon. 1

2 2 Adding Municipality Name, Address Etc. System Utilities Module System Tab Edit Organization Profile Record The Organization Profile Record menu step is used to enter information specific to your municipality (name, address etc.). It also establishes default G/L account numbers (the ones that are used most often) for primary accounts (bank account, accounts payable etc.). Make sure that appropriate general ledger account numbers have been setup prior to making any additional entries on this screen (see below Adding New G/L Account Numbers). The ones reflected on the screen below are suggested, and are the most common. Begin by clicking on the Organization tab (enter the required information as noted to the left), followed by the Payroll Tab and General Ledger Tab. The Memo, Logo, and Cash Flow tabs are optional. Note: The number shown in the Retirement # block is the municipality s state supplied employer code. This number will appear on the Retirement Report. Note (Payroll tab): The referenced default G/L account numbers reflected in the FICA Information boxes are Trust & Agency account numbers 2

3 Note: (General Ledger Tab): More than two checking accounts may be used if desired. If only one checking account is used for both A/P and P/R, simply note the same g/l number in both A/P and P/R Bank Acct. fields (i.e ). Payroll must use the Bank Acct. to properly reflect postings. A/P and P/R Bank Acct. s are considered checking accounts by Enhanced. Using the Trust & Agency fund (or separate fund) is required to properly track various accounting activities Referenced FICA and Medicare rates and limits may be adjusted as necessary. Please review the g/l numbers entered, and make any appropriate changes. Add/Edit Account Control Specifications (General Ledger Module Data Entry Tab) We have previously structured the Enhanced system to automatically sense the type of account numbers (i.e. asset, liability etc.) based on the number of digits that comprises the respective account number. It is not normally necessary to alter this structure. 3 digit numbers are Assets 4 digit numbers are Revenues 5 digit numbers are Expenditures Adding New General Ledger Numbers System Utilities Module Data Entry Tab Add/Edit G/L Account Header Names You will need to enter additional G/L chart of account numbers specific to your municipality i.e. Trust & Agency cash accounts to accrue employer FICA & Medicare monies, etc. Reference your AUD, budget reports, balance sheet report (assets, liabilities etc.) for specific g/l numbers additional header names are entered at this point. The Account Header Names (show on the next page) will usually not need to be adjusted. 3

4 Note: additional Account Header Names may be added if not already listed. Please follow the example displayed by other listings, and enter the new listings in the same manner. This is the first step in establishing a new g/l number. The new g/l number must now be assigned to a specific fund(s) to be recognized by Enhanced, and to be made available for use. See Add/Edit G/L Account Information for instructions to add a g/l number for use by a particular fund or by multiple funds. 3 Add/Edit Fund, Obj. of Expend, Sub Acct. Names Enter specific Funds, object of Expenditure and Sub Accounts (if required). Simply click in the Fund # box (under the zero) and enter a number (i.e. 1 for fund A, 2 for fund B etc.) followed by a description (i.e. General Fund A). Important Note: Do Not overwrite the zero Enhanced uses the zero field! Now, click on the Obj # box (under the zero) and make any additions or corrections. Sub- Acct. s can also be used (if desired) to further segment the account number, and to provide further detail. 4

5 Note: marking an existing entry Delete will remove it from all reports and drop down listings. You may remark the entry Active at anytime to begin re-using the respective listing. Save information by clicking the Close icon (on the toolbar). Add/Edit G/L Account Information Click New (toolbar). Enter new g/l Account number as well as a Fund #, Object (1, 2, etc.); and Subacct. (if using sub-accounts). The account structure is numeric, with an alpha-number description. The accounts and the descriptions are based on the Uniform System of Accounts State of New York. Save information by clicking File (toolbar) then Close. Important Do Not assign sub-accounts to fund balance accounts (i.e. 909). Important Make sure that all g/l revenue and expenditure accounts have a Prime Account (g/l number fund number zero for object of expenditure and zero for sub-acct.), i.e. G/L No. Fund Object Sub-Acct. Prime Account You may now assign various object of expenditures and/or sub-accounts if desired, i.e. Prime Account w/object Prime Account w/sub Many of the Enhanced reports will provide an option to report on just the prime account numbers (which accumulates all the totals for its respective objects and/or sub-accounts) displaying a grand total amount for each of the general ledger account numbers. This feature is most important when generating the AUD report (year-end totaling report). 5

6 Note: if you are unable to enter an account number, please check the Account Header Names to confirm that the g/l number exist. If not, add it in Add/Edit G/L Account Header Names and return to this screen to complete the entry. You are now ready to enter beginning balances. Beginning balances can be entered at any time (although we suggest that you make the appropriate entries prior to using the system). You will not be able to produce meaningful financial statements until they are complete.. but you will still be able to use the system, and all functions! 4 Beginning Balances General Ledger Data Entry Tab Add/Edit Journal Entries General Ledger beginning balances are entered through journal entries. Beginning balances must be entered to obtain meaningful financial statements. Note: Enter beginning balances in the last month of the prior fiscal year (if starting this system at the beginning of your fiscal year. If you are starting Enhanced at anytime other than the beginning of the year see Beginning Balances for Mid Year Start up later in this section). Please make beginning balance entries one fund at a time (i.e. General Fund (Close icon ) Highway fund (Close icon ) etc.). Once entered and updated, beginning balances can only be changed by re-opening the closed (updated) accounting period (not recommended). Select Add/Edit Journal Entry press OK. Click on the Add Button (G/L Session Setting box). Enter the beginning balance date (i.e. the last day of the last month of the prior year) press Enter Enhanced will prompt you to confirm the date press OK. Enter a user defined reference number and description ( i.e. Opening Balance 2003). Select a G/L account number by typing the first few numbers and pressing Enter, or by double clicking on the white part of the G/L acct box. 6

7 An example follows: Debit Cash Account for Gen. Fund A: then Credit Fund Balance for Gen Fund A: The above entries would be made by typing (first line) (second line) press enter the system will automatically enter the remaining zeros. Zeros are displayed to reflect the length of the respective account segments. Note: enter all balance sheet asset accounts as a Debit; enter all balance sheet liability accounts as a Credit. Once total debits equal total credits, close window to save (Close icon ). Repeat procedure for each fund (using separate batches). Note: Run a Trial Balance for each fund from the General Ledger Module Reports Tab to verify account totals. If the account balances are correct for respective funds, close the report you will be asked if you want to update the trial balance. Please verify the beginning balances prior to updating If corrections are needed, proceed to the Data Entry Tab (General Ledger module) and click on Add/Edit Journal Entries. Click on the Edit button when the G/L Session Setting box is displayed. Click on the down arrow under (Edit) Batch# and click on the latest batch. Press OK. The selected Batch is now in the Edit mode the batch can be printed, and reviewed for correctness. Change any of the entries that are incorrect. Click the Close icon (on the toolbar). 5 Verify Beginning Balance Totals General Ledger Reports Tab Trial Balance The Trial Balance report will show all beginning balances. Click on Trial Balance menu option. The G/L Trial Balance Setup box is displayed. Use the drop down arrow next to the Period End Date box, and click on the desired accounting period. 7

8 Detail to View: ( Not Updated) Sort Report by (click on Fund) Type (click on Selective) then click on the respective fund (i.e. General Fund A) Now press OK and verify that the totals are correct (if not, close window and edit the respective batch containing the errors). Please note that the system will not update an out of balance fund. Save information by clicking the Close icon (on the toolbar).. When prompted click on YES to update the G/L Trial Balance. Enter the period to be updated in the drop down box now displayed (i.e for 12/99). Press OK through the next two boxes. All funds will be updated (closed) provided that they are in balance. Note: the shown (for year end adjustments) is not to be used! Beginning Balances for Mid Year Startup If the municipality will start at the beginning of its fiscal year e.g. 2000, the beginning balances will be the Balance Sheet accounts only (after closing the revenue and expenditure to the fund balance at the end of the prior year fiscal year e.g. 1999) These balances will be entered via a journal entry dated December 31 st of the prior fiscal year e.g. 12/31/99 (as previously described). If the municipality will start at the beginning of some period/month during the current fiscal year e.g. April 2000, the beginning balances will be the ending balances from the prior month for all General Ledger accounts e.g. March Therefore, the journal entry will consist of Year-to-Date balances for all appropriate Asset, Liability, Revenue and Expenditure accounts as of the end of a prior period/month (suggest a trial balance by fund to obtain this information). The Fund Balance however, must be the Fund Balance from the beginning of the current fiscal year e.g. 12/31/99. The date of the Journal Entry will be the last day of the prior month e.g. 3/31/00 8

9 6 Budgets General Ledger Data Entry Tab Add/Edit Yearly Budget A simple way to enter a lump sum budget amount for operating statement g/l accounts. The respective budget entries are tracked through out the year, and reported on the Operating Statement report. Highlight the Fiscal Year (upper left of screen) by holding down the left mouse button and dragging it across the fiscal period (i.e ). Change it to the current fiscal year (i.e. January 2004 would be entered as the year 2004, followed by the month 001). Click on the GL to Budget button (upper right) if this is the first time entering budgets or new fiscal year). Selecting G/L Accounts & Assigning Budget Amounts Select individual g/l account numbers (click on each one) or select all g/l account numbers (by holding down the left mouse button and dragging it down highlighting all the g/l numbers listed). 9

10 Click the arrow in the center pointing to the right. All the selected g/l numbers will move to the right container. File close to return to the budget entry screen. Now, simply enter the yearly budget for respective g/l account numbers (under Enter Yearly Budget). The entries may be corrected, changed and/or updated as required by returning to this screen and changing the amount(s). General Ledger Data Entry Tab Add/Edit Budgets Budget entries may also be added individually by g/l account number as follows (useful when doing amendments): Budget numbers are entered for any operating statement account based on entering one total budget amount in the first period of the year, a different amount for each period, or any combination of the two. An equal amount can also be distributed through out the year, automatically (if desired). Enter the appro- Click on Budget. priate G/L account number in the Select a G/L Account box. Press enter. Note: Previously entered budget amounts (prior years for example) will be displayed if they had been entered. Click New (located on toolbar). Enter first & last periods in the Select Beginning and Ending Period drop down boxes, i.e. enter (for 1/1/00) as the beginning period, and (for 1/1/00) as the ending period. This method will present one period to enter your yearly budget. Click on OK. Click on the Enter an Amount to be added for each period radio button (which will present only the first period). Enter the respective budget amount. Press OK. 10

11 Enter any notes in the note field next to the budget amount if desired (useful for amendments). Save information by clicking the Close icon (on the toolbar). Budget Amendments Enter the g/l account to be amended on the budget entry screen (press enter). The original budget amount will now be displayed. In the Monthly Budget amount enter the amount of the amendment (i.e. an increase to the budget is entered as a positive number; a decrease to the budget is entered as a negative number). Note: You may re-select the Beginning and Ending Period for the budget, and specify the entire year (for 1/1/00) as the beginning period, and (for 12/31/00) as the ending period, and note the budget change in the respective period. This procedure will allow you to track the various changes, and still see the original budget. Don t forget to add a note as to why the budget was amended. Press OK. Save information by clicking the Close icon (on the toolbar). Generate an Operating Statement report (Reports Tab) to reflect the budget change. Enhanced will automatically reflect any changes made to the budgets, and report accordingly. 7 Balance Sheet / Operating Statement Reports General Ledger Reports Tab Balance Sheet (then) Operating Statement Generate a Prior Period Balance Sheet and Prior Period Operating Statement to verify account balances. Enter appropriate period end date and click OK. Repeat for desired reports. Note: Enhanced s Balance Sheet report contains two novel displays at the bottom (see next page for display). 11

12 The Month to Date and Year to Date revenues and expenditures (and resulting fund balance) are displayed, giving a real time review of each fund. 8 Recording Cash Receipts and/or Revenues General Ledger Data Entry Tab Add/Edit Journal Entries The Add/Edit Journal Entries menu step can be used to enter journal entries for Cash Receipt transactions and various transactions and/or adjusting entries that occur during an accounting period (other than those handled by A/P, P/R etc.). When management style reporting is required /or generating invoices are necessary (i.e. selling a product or service), we suggest using Enhanced s Accounts Receivable module. The G/L Session Setting box will be displayed. Click the Add button. Enter the appropriate accounting period date. Enter the appropriate information as you would normally do when booking a receipt (i.e. credit the revenue account and debit cash). Save information by clicking the Close icon. When entering Cash Receipt journal entries record entries in batches, reflecting deposits to the bank cash accounts for the month. An example would be as follows: - credit entries for three revenue accounts then debit entry to cash for the total deposit made to the bank. 12

13 Note if not using the Disbursements & Receipts module: code cash receipts entries by using CR-1, CR-2 etc. in the Ref # column located on the G/L journal entry screen. This process will be beneficial when using Enhanced s Bank Reconciliation module to reconcile various bank statements. Important Note: You can enter journal entries for multiple funds but cannot enter journal entries for multiple accounting periods into the same batch of journal entries. Also, keep revenue receipts journal entries separate from any other journal entries. Note: there are several different methods to report and track revenue and/or expenditures accounts (other than using the Disbursements & Receipts module). We suggest the Selective Account Detail inquiry (General Ledger module Inquiry Tab). This feature will allow you to report on specific revenue account(s) or any account(s) for that matter for any given time period. Also, try using the report Trial Balance Detail for a Date Range, which allows sorting by Fund G/L number by specific date. 9 Review and Print each Batch If you need to print (and/or revisit) a batch after the initial session click on Journal entries as described above. Click on Edit when the G/L Session Setting box is displayed. Click on the down arrow under (Edit) Batch# and click on the latest batch. Press OK. The selected Batch is now in the Edit mode the batch entries can be printed, and reviewed for correctness. If any of the journal entries need to be changed, make corrections on this screen. Do not change journal entries made in prior periods (zero them out and re-enter the journal entry). Run a Trial Balance Report from General Ledger Reports to verify account totals. If the account balances are correct, close the report and update the trial balance. Update (closing period) (also see Closing an Accounting Period) Updating the g/l at the end of each period is optional (other than the last period of the prior year and the first period of the new year) either of which is done when convenient. Run a Trial Balance report from the General Ledger module for the General Fund and click Yes when asked to update period. The only advantage is that the Trial Balance reports will now be much easier to read. This procedure should be done after all funds journal entries are posted for each period. Tip: you may want to update (close) respective accounting periods to make the Trial Balance report easier to read. We strongly suggest closing each by period (i.e. February then March etc). 13

14 If transactions need to be made to an updated (closed) period, simply make the transaction as you normally would, then re-update the closed period. Only the new transaction will be updated to the general ledger. Remember to reprint reports. 9A Recurring Journal Entries General Ledger Data Entry Tab Add/Edit Recurring Journal Entries The Recurring Journal Entries feature is used for repeated entries of the same general ledger account numbers during an accounting period. These debits and credits for the g/l account numbers may be revised as often as needed, and posted to the general ledger as often as needed. Select Add/Edit Recurring Journal Entries. Add as many general ledger accounts as desired. Make sure to offset to the appropriate cash account(s) for the various funds. Multiple fund assignments are allowed. The screen will display the last time Standard Entries were posted to the general ledger (top of screen to the left of Standard Entries Were Last Updated to Period). Click on the Actions tab and select Update Recurring Journal Entries. Select the appropriate accounting period and click OK. If additional journal entries are required for the same accounting period, simply click the Reset button prior to clicking OK. 14

15 10 Reverse Journal Entries (if required) General Ledger Action Tab Reverse Journal Entries This menu step allows reversing of journal entries in accounting periods that have been closed. Corrections for journal entries in periods that have not been closed are done by editing the respective batch of journal entries (see step 9 Review and print each batch on preceding page). When entries are made in one accounting period that need to be reversed in another, the Reverse Journal Entries menu step will reverse the entire batch of entries automatically. Enter date range of batch entries you wish to reverse. Select Batch Number to be reversed by pressing down arrow next to the Select Batch# to Reverse box. Click on batch you want to reverse. Press OK. Click on the Reverse button located on the tool bar. Enter a reference # and date of reversal. Click OK. The entire batch of journal entries will be reversed and the batch number will be reflected as reversed on respective financial statements. 11 Audit List General Ledger Report Tab Audit List As batches of transactions are entered into the Enhanced Accounting system, batch numbers are automatically assigned. Each transaction carries a batch number (including reversals). For audit purposes, it may become desirable or necessary to examine individual transactions. Select Audit List from General Ledger Report Tab. The Audit List will display a list of all batches in the database by batch number sequence. 15

16 Batch information will always be available for review and reference. Closing a respective accounting period will have no effect on this list. Double clicking anywhere on an individual line or batch # will display in Print Preview all of the detail transactions associated with the selected batch (as shown to the left). These transactions may then be printed at any time. Note: the Audit List can be used to trouble-shoot journal entries which may have incorrect fund assignments or incorrect general ledger accounts. They also can be used to list batches of entries (i.e. Cash Receipts). 12 Closing an Accounting Period Overview: Closing the last period in a given fiscal year will roll the fund accounts (909/522) to zero as shown on the Balance Sheet report (month to date column). The Y-T-D column amounts will still reflect the last period totals. Once the first fiscal period is closed, revenues & appropriations will roll forward (zeroing the totals). New opening balances will then be created based on any debits/credits reflected in that first period. Closing the first month in a new fiscal year will revise the 909 fund balances as noted below. Note: A revised fund balance (909) will be established for the new fiscal year. This new balance will incorporate the prior fiscal year s fund balance, with the YTD net change. For example, we recommend doing a year end close for 2010 at the end of January 2011 (June 2011 for villages). Normal transactions can still be performed during January/June. Do a backup first! If invoices are received during January/June that are dated in December/May, simply input the respective invoices with the December/May dates (invoice date and received date). All such invoices will accrue and be reflected on the Abstract of Vouchers report for December/May. Run Trial Balance, Balance Sheet and Operating Statement Reports for all funds for December 2010 (May 2010 for villages). Check for errors, make any necessary corrections. These reports will be considered your year-end reports. Generate Form 1099 for those suppliers requiring 1099 s (Accounts Payable Action Tab). 16

17 If not already done generate Form W2 for employees requiring W2 s (Payroll Action Tab). Note: W2 s may be reprinted several times as needed. Generate the desired number of copies at this time (see separate instructions for generating W2 s). Clear Supplier Year to Date amounts (System Utilities System Tab). Run the Bank Reconciliation to reconcile the bank statement to each bank account if utilizing this feature (Bank Reconciliation Action Tab). Re-Run the Trial Balance report for each fund. Run a trail balance for each month in 2001 (if not don so already) beginning with January. When asked Do you want to update the general ledger trail balance now? Press OK. Enter the appropriate month. The month will then be updated (closed). Do this only for months that have not been previously updated (closed). DO NOT CLOSE ANY PERIOD ENDING WITH 999 (i.e ) Note1: Closing Fund A (first fund) will close all other funds for the respective period provided the other funds are in balance (none will close if one is out of balance). If out of balance, go to System Utilities Actions tab List out of balance batches. Note the batch number(s), go to General Ledger Reports tab and select Audit List. Double click on the respective batch number(s). Note2: It will be necessary to establish a new Accounting Period (i.e. 2011) and input new budget amounts for Report Locator General Ledger (from drop down list box) Reports Tab The following reports are located in this section: Audit List Sales Journal Purchase Journal Trial Balance Trail Balance Details for a Date Range Chart of Accounts Check Register Balance Sheet Comparative Balance Sheet Operating Statement Annual Fund Report Budget Overview Budget Information Bank Reconciliation uncleared checks Bank Reconciliation 17

18 Inquiry Tab A user defined, extremely useful report is found in this section: Selective Account Detail sorted by g/l account number (and/or) date range (and/or) accounting period. Will produce a report that list g/l account date description debit/credit source ref.# - batch # - fund accounting period update date. This report can also be sorted by beginning and ending date, as well as individual g/l account number(s). Check Register Chart of Accounts Account Balances General Ledger Account Structure & Overview For those municipalities and non-profits wishing to use a previously established account code structure, we have included a database (MTXACCT8.mdb) based on the general ledger accounts and protocol found in New York States Uniform Systems of Accounts. The basics are as follows: Description G/L low to high # Type Default Accounts 1-2 (c/sale) Trust & Agency Accounts (liability) Cash Accounts (asset) Accounts Receivable (asset) Other Assets (asset) Estimated Revenues (budget) (asset) Encumbrances (liability) Encumbrance Control (liability) Appropriated Fund Balance (budget) (asset) Accounts Payable (liability) Accrued Liabilities (liability) Liability Accounts (liability) Fund Equity Accounts (balance) (fund equity) Est. Appropriations Budget (liability) Revenue Control Accounts (assets) Revenue Accounts (other income) Expenditure Accounts (liability) The most efficient way to enter the account number when inputting to the Enhanced accounting program would be to type the account-fund-object-sub ( ) and press enter or click OK. Naturally, drop down boxes with complete descriptions are always available for selection throughout the Enhanced system. 18

19 Example of key entry: Account Fund Object of Expend. Sub-Account Key Entry Cash Fund A Personal Services N/A Supervisor Fund A Contractor Expense N/A CE Table of Contents Accounting Period Setup. 1 Adding Municipality Name & Profile 2 Add/Edit Account Control Specifications.. 3 Adding New General Ledger Numbers 3 Add/Edit Fund, Obj. of Expenditure & Sub Accounts. 4 Add/Edit General Ledger Account Information. 5 Beginning Balances. 6-8 Budgets.. 8 Setting up Budgets 9 Budget Admendments.. 10 Recording Cash Receipts/Revenues. 12 Recurring Journal Entries.. 14 Reverse Journal Entries Audit List.. 15 Closing an Accounting Period Report Locator General Ledger Account Number Structure.. 18 Enhanced Quick Steps 2011 Enhanced Business Systems, LLC All Rights Reserved Revised 1/11 19

MSI General Ledger Version 7.5

MSI General Ledger Version 7.5 MSI General Ledger Version 7.5 User s Guide Harris Local Government 1860 W. Winchester Road, Ste 204 Libertyville, IL 60048 Phone: (847) 362-2803 Fax: (847) 362-3347 Contents are the exclusive property

More information

MSI Calendar and/or Fiscal Year End Processing For year ending December 31, 2013

MSI Calendar and/or Fiscal Year End Processing For year ending December 31, 2013 MSI Calendar and/or Fiscal Year End Processing For year ending December 31, 2013 User s Guide NOTE: Screen shots for this document have been taken from the version 7.0 MSI Payroll system. Municipal Software,

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

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

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

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

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

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

Total Order Plus Integrated Accounting Series General Ledger

Total Order Plus Integrated Accounting Series General Ledger Total Order Plus Integrated Accounting Series General Ledger Mindware Corporation Of America Integrated ted Accounting Series Total Order Plus General Ledger User Guide Copyright 1999 by Mindware Corporation

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

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

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

Microsoft Dynamics GP2013 Year-End Closing Questions and Answers

Microsoft Dynamics GP2013 Year-End Closing Questions and Answers Microsoft Dynamics GP2013 Year-End Closing Questions and Answers Table of Contents Year End Questions - General... 2 Receivables Management... 3 Payables Management... 4 Inventory Control... 5 Fixed Asset

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

MSI Payroll Version 4.0

MSI Payroll Version 4.0 MSI Payroll Version 4.0 User s Guide Municipal Software, Inc. 1850 W. Winchester Road, Ste 209 Libertyville, IL 60048 Phone: (847) 362-2803 Fax: (847) 362-3347 Contents are the exclusive property of Municipal

More information

Changing the General Ledger Fiscal Year End

Changing the General Ledger Fiscal Year End Changing the General Ledger Fiscal Year End (while retaining journal detail) Note: This document provides instructions to change the fiscal year end and import journal detail for the current fiscal year.

More information

Tips & Tricks General Ledger Infinite Visions Enterprise Edition: General Ledger

Tips & Tricks General Ledger Infinite Visions Enterprise Edition: General Ledger Tips & Tricks General Ledger Infinite Visions Enterprise Edition: General Ledger CLASS DESCRIPTION Let s learn something new in the General Ledger module that can help with your daily data entry and also

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

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

ShelbyNext Financials: General Ledger Best Practices

ShelbyNext Financials: General Ledger Best Practices ShelbyNext Financials: General Ledger Best Practices (Course #F213) Presented by: Dave Heston Shelby Consultant 2018 Shelby Systems, Inc. Other brand and product names are trademarks or registered trademarks

More information

A Guide to Month-end & Year-end Accounting

A Guide to Month-end & Year-end Accounting A Guide to Month-end & Year-end Accounting Version 2015.2 Page 1 Contents Structure of Xebra Accounting After you have reconciled all your Bank Accounts: Reports - General Ledger Balance - Accrual Basis

More information

FMS View Expense Budget Information

FMS View Expense Budget Information FMS View Expense Budget Information Budget Information Queries To view your operating expense budget (Fund 110) in the Financial Management System (FMS), you create a budget query with specific criteria;

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

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

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

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

How to Enter Opening Balances - Standard VAT

How to Enter Opening Balances - Standard VAT How to Enter Opening Balances - Standard VAT Opening balances represent the financial position of your organisation on the day you start using Sage Accounts. Whatever date you choose, you are likely to

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

How to Run The Month End

How to Run The Month End How to Run The Month End Sage Accounts has been designed to make your month end procedure as smooth and trouble free as possible. The Month End routine is an optional procedure which groups together routines

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

Year End Close Part 2 of 2: Year End Close Processing Munis Financials: General Ledger

Year End Close Part 2 of 2: Year End Close Processing Munis Financials: General Ledger [MU-FN-5-B] [MU-FN-11-B] Year End Close Part 2 of 2: Year End Close Processing Munis Financials: General Ledger CLASS DESCRIPTION The day has come - you ve completed all of your Year End Close Preparation

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

Finance Manager: Budgeting

Finance Manager: Budgeting : Budgeting Overview is a module that facilitates the preparation, management, and analysis of fiscal year budgets. Streamlined for efficiency and designed to solve the cumbersome process of budget creation,

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

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

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

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

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

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

Rebel Ridge Snowmobile, Inc.

Rebel Ridge Snowmobile, Inc. Rebel Ridge Snowmobile, Inc. 1 st Web-Based Edition Journal Entries Page 1 BEGIN THE PROGRAM AND ENTER THE DATA When you have: (1) Carefully read pages 1-8 of this handbook, (2) A good understanding of

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

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

Getting Started with The Professional Landlord

Getting Started with The Professional Landlord with The Professional Landlord Version 12 The PROMAS Landlord Software Center 311 Maple Avenue West, Ste D Vienna, VA 22180 800-397-1499 www.promas.com 1 1 with The Professional Landlord You have the option

More information

PEACHTREE COMPLETE 2009 WORKSHOP 4 PETE S MARKET

PEACHTREE COMPLETE 2009 WORKSHOP 4 PETE S MARKET PEACHTREE COMPLETE 2009 WORKSHOP 4 PETE S MARKET Mini Practice Set Completing First Quarter Payroll for Pete s Market This workshop adds to Peachtree skills learned in Workshops 1 through 3 so complete

More information

Table of Contents Budgets & Expenses

Table of Contents Budgets & Expenses Table of Contents Budgets & Expenses Budgets & Expenses 3 Introduction... 3 Budget/Expense File (Chart of Accounts)... 3 Budget/Expense Transaction File... 3 Monthly Flow Cycle... 4 Budgets & Expenses

More information

Microsoft Dynamics GP. Electronic Bank Management

Microsoft Dynamics GP. Electronic Bank Management Microsoft Dynamics GP Electronic Bank Management Copyright Copyright 2010 Microsoft. All rights reserved. Limitation of liability This document is provided as-is. Information and views expressed in this

More information

MARATHON FINANCIAL ACCOUNTING END OF CALENDAR YEAR

MARATHON FINANCIAL ACCOUNTING END OF CALENDAR YEAR The following instructions will guide you through the end of a calendar year process. This process includes steps for W-2 Forms, Electronic W-2 Filing, Clear Calendar Year to Date Totals, Tax Table updates

More information

MSI Fiscal Year End Processing

MSI Fiscal Year End Processing MSI Fiscal Year End Processing User s Guide Harris Local Government 1860 W. Winchester Road, Ste 204 Libertyville, IL 60048 Phone: (847) 362-2803 Contents are the exclusive property of Harris Local Government

More information

Year 2016: Sage BusinessWorks Year End Tips Guide

Year 2016: Sage BusinessWorks Year End Tips Guide Year 2016: Sage BusinessWorks Year End Tips Guide Table of Contents Topic Page Year 2016: Sage BusinessWorks Year End Tips Guide... 1 Table of Contents... 1 Year 2016: Year End Tips for Sage BusinessWorks...

More information

NextGen Financial Management & NextGen Purchasing Fiscal Year End 2018

NextGen Financial Management & NextGen Purchasing Fiscal Year End 2018 Financial Management & Purchasing Fiscal Year End 2018 LOCAL GOVERNMENT CORPORATION ALL RIGHTS RESERVED 2011-2018 (Rev. 05/21/2018) Version 4 Copyright 2011-2018 All Rights Reserved Purchasing and Financial

More information

Setting Up and Assigning Bank Rec Groups

Setting Up and Assigning Bank Rec Groups Setting Up and Assigning Bank Rec Groups Important Note Salary checks existing in the system before updating to version 2.1.763 or higher must be viewed and reconciled under All Bank Rec Groups in Bank

More information

8.0 BANKING. 8.1 Overview. 8.2 Multiple Bank Accounts Funds Transfers Cancelling a Funds Transfer

8.0 BANKING. 8.1 Overview. 8.2 Multiple Bank Accounts Funds Transfers Cancelling a Funds Transfer 8.0 BANKING 8.1 Overview As you enter receipts from your customers and payments to your suppliers and expense accounts, Payperwork automatically updates the relevant bank account. The default bank account

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

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

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

Open MSI Budget Planning Module

Open MSI Budget Planning Module MSI Budgeting Open MSI Budget Planning Module 1) Enter MSI password 2) Click OK Under Maintenance Menu, click on Budget Entry If you do not Tab you will pull up the entire chart of accounts which will

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

Year End Close Part 1 of 2: Preparing for Fiscal Year End Close Munis Financials: General Ledger

Year End Close Part 1 of 2: Preparing for Fiscal Year End Close Munis Financials: General Ledger [MU-FN-4-B] [MU-FN-10-B] Year End Close Part 1 of 2: Preparing for Fiscal Year End Close Munis Financials: General Ledger CLASS DESCRIPTION Year End Close in Munis is an unavoidable process. The ease and

More information

Setting up and using the accounting module will give you detailed accounting and financial reporting.

Setting up and using the accounting module will give you detailed accounting and financial reporting. CHAPTER 6 ACCOUNTING To get the most out of the financial aspects of Campground Manager Astra, you should set up the Accounting module using either Cash Basis or Accrual Accounting depending on the method

More information

Basic Application Training

Basic Application Training Basic Application Training Class Manual 99.273 The documentation in this publication is provided pursuant to a Sales and Licensing Contract for the Prophet 21 System entered into by and between Prophet

More information

PCSchool Reconciling your Debtors. Table of Contents

PCSchool Reconciling your Debtors. Table of Contents Reconciling Debtors Table of Contents Are you Accrual or Cash?... 2 Setting up the Reconciliation Report Alias... 2 Printing the Debtors Reconciliation Report... 3 Example of Debtors Reconciliation Report:...

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

The Write-Up Solution II to Write-Up CS Conversion Guide

The Write-Up Solution II to Write-Up CS Conversion Guide The Write-Up Solution II to Write-Up CS Conversion Guide The Utilities / Data Conversion / Write-Up Solution II command in Creative Solutions Accounting (CSA) is provided to convert data files from The

More information

Entity Codes User Guide

Entity Codes User Guide Entity Codes User Guide Created in version 2009.4.0.153 1/16 Table of Contents Entity Codes... 2 Overview... 3 Create a New Entity... 4 Set up Periods... 5 Ledger End of Period... 6 Backup... 6 Print Reports...

More information

RESOLV CONTAINER MANAGEMENT DESKTOP

RESOLV CONTAINER MANAGEMENT DESKTOP RESOLV CONTAINER MANAGEMENT DESKTOP USER MANUAL Version 9.2 for HANA Desktop PRESENTED BY ACHIEVE IT SOLUTIONS Copyright 2016 by Achieve IT Solutions These materials are subject to change without notice.

More information

Classic General Ledger Year-End Checklist 2016

Classic General Ledger Year-End Checklist 2016 Classic General Ledger Year-End Checklist 2016 Table of Contents Classic General Ledger Year-End Checklist - 2016... 1 Welcome back!... 1 Need more help?... 1 Check Data Integrity, Run Checkout and Backup

More information

GENERAL ACCOUNTING AND END-OF-PERIOD PROCEDURES: MERCHANDISING BUSINESS

GENERAL ACCOUNTING AND END-OF-PERIOD PROCEDURES: MERCHANDISING BUSINESS GENERAL ACCOUNTING AND END-OF-PERIOD PROCEDURES: MERCHANDISING BUSINESS LEARNING OBJECTIVES At the completion of this chapter, you will be able to: 1. Complete the end-of-period procedures. 2. Change the

More information

v.5 Financial Reports Features & Options (Course V46)

v.5 Financial Reports Features & Options (Course V46) v.5 Financial Reports Features & Options (Course V46) Presented by: Ben Lane Shelby Senior Staff Trainer 2017 Shelby Systems, Inc. Other brand and product names are trademarks or registered trademarks

More information

Microsoft Dynamics GP Payable Management. Series GP 2018

Microsoft Dynamics GP Payable Management. Series GP 2018 Microsoft Dynamics GP Payable Management Series GP 2018 Contents Course Objectives 7 Payables Management Setup 11 1.1 Payables Management Setup 15 1.2 Payables Setup Options 21 1.3 Creditor Class Maintenance

More information

Accounting with MYOB v18. Chapter Three Cash Accounting

Accounting with MYOB v18. Chapter Three Cash Accounting Accounting with MYOB v18 Chapter Three Cash Accounting Cash Accounting Activities 1. Receive and pay money using Banking. 2. Create and use Recurring Templates. 3. Combine receipts for banking. 4. Identify

More information

MUNSOFT 5.2 INCOME: SUNDRY DEBTORS MANUAL. Y Walters B.Sc. (Math Science) Hons

MUNSOFT 5.2 INCOME: SUNDRY DEBTORS MANUAL. Y Walters B.Sc. (Math Science) Hons MUNSOFT 5.2 INCOME: SUNDRY DEBTORS MANUAL 1 Y Walters B.Sc. (Math Science) Hons SUNDRY DEBTORS... 4 Enquiries... 4 Sundry Enquiries... 4 Account Search... 5 Master Files... 6 Account Master... 6 Account

More information

Bank Reconciliation Processing SYSTEM ADMINISTRATION AND PROCESSING GUIDE. Last revised: 8/19/10 12:22 PM

Bank Reconciliation Processing SYSTEM ADMINISTRATION AND PROCESSING GUIDE. Last revised: 8/19/10 12:22 PM Bank Reconciliation Processing SYSTEM ADMINISTRATION AND PROCESSING GUIDE Last revised: 8/19/10 12:22 PM New World Systems 1 CONTENTS Contents... 1 Introduction... 3 System Administrator Guide... 4 Company

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

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

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

QuickBooks Pro Manual

QuickBooks Pro Manual QuickBooks Pro Manual for Development Organisations Fifth version prepared December 2009 for users of QuickBooks Pro 2006. For limited circulation within Mango and selected NGOs (further information from

More information

Set Up Trams Back Office Core Reports and General Ledger

Set Up Trams Back Office Core Reports and General Ledger Set Up Trams Back Office Core Reports and General Ledger This document contains directions for setting up Trams Back Office Core Reports and General Ledger. Set Up Client/Vendor Balances Core Reports.

More information

Creditors / Suppliers

Creditors / Suppliers Arch User Guide ver. 25 Classification: Document History Date Version Changed By Details 2015-03-09 1.0 Karl van Niekerk Created Document 2015-07-09 1.1 Karl van Niekerk Updated Document Document Version

More information

ACCOUNTANT TRAINING NETWORK. Top 10 QuickBooks Mistakes Clients Make and How to Fix Them

ACCOUNTANT TRAINING NETWORK. Top 10 QuickBooks Mistakes Clients Make and How to Fix Them ACCOUNTANT TRAINING NETWORK Top 10 QuickBooks Mistakes Clients Make and How to Fix Them Copyright Copyright 2008 Intuit, Inc. Intuit, Inc. All rights reserved. PO Box 7850, MS 2475 Mountain View, CA 94039-7850

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

FlockBase Accounting. Fund Accounting Software for Churches. User Guide

FlockBase Accounting. Fund Accounting Software for Churches. User Guide FlockBase Accounting Fund Accounting Software for Churches User Guide Table of Contents An Overview of Fund Accounting... 1 Why is fund accounting necessary?... 1 What are the options for fund accounting?...

More information

AIMS. General Ledger Version 6.3 May 1, 2006

AIMS. General Ledger Version 6.3 May 1, 2006 AIMS General Ledger Version 6.3 May 1, 2006 Copyright Western Canadian Software, 2006 - TABLE OF CONTENTS What About General Ledger?... 1 Module Topics... 2 General Ledger Menu Options... 9 File Maintenance

More information

GL, Reconciliation and End-of-Period. Roll end of Period

GL, Reconciliation and End-of-Period. Roll end of Period GL, Reconciliation and End-of-Period 2 Select the ledgers to roll (it is advisable to roll all ledgers together, however you may choose to roll them separately if required). At the very least, stock and

More information

Attaché Payroll 2017/18. End of Year Procedures

Attaché Payroll 2017/18. End of Year Procedures Attaché Payroll 2017/18 End of Year Procedures Table of Contents Which Version of Attaché Do I Need to Process End of Year?... 4 Checking that All Operators have Exited Attaché... 5 Blocking Access to

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

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

Microsoft Dynamics GP. Receivables Management

Microsoft Dynamics GP. Receivables Management Microsoft Dynamics GP Receivables Management Copyright Copyright 2012 Microsoft. All rights reserved. Limitation of liability This document is provided as-is. Information and views expressed in this document,

More information

Using the Clients & Portfolios Module in Advisor Workstation

Using the Clients & Portfolios Module in Advisor Workstation Using the Clients & Portfolios Module in Advisor Workstation Disclaimer - - - - - - - - - - - - - - - - - - - - - - - - - - - - - - - - - - - - - 1 Overview - - - - - - - - - - - - - - - - - - - - - -

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

Seventh-day Adventist Church (SPD) Limited. The New Online SPD Tithes & Offerings Reporting System. Training Manual

Seventh-day Adventist Church (SPD) Limited. The New Online SPD Tithes & Offerings Reporting System. Training Manual Seventh-day Adventist Church (SPD) Limited The New Online SPD Tithes & Offerings Reporting System Training Manual Local Church Treasurers & Assistants Page 2 of 35 Version 1.1 Authorised By: Table of Contents

More information

Lesson 2: Banking and Credit Cards

Lesson 2: Banking and Credit Cards Sage 50 Premium Accounting 2016 Level 2 Lesson 2: Banking and Credit Cards Lesson Objectives In this lesson, you will learn how to set up and use the bank reconciliation feature in Sage 50 Accounting.

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

MARATHON FINANCIAL ACCOUTING GENERAL LEDGER SETUP

MARATHON FINANCIAL ACCOUTING GENERAL LEDGER SETUP The General Ledger Module is the hub of the Marathon Financial Accounting System. Setup for the GL must be completed before any Marathon Module may be used. The account component codes must be set up before

More information

CAI Payroll Application COBRA Premium Reduction Subsidy

CAI Payroll Application COBRA Premium Reduction Subsidy Application COBRA Premium Reduction Subsidy The American Recovery and Reinvestment Act of 2009 (ARRA) provides for premium reductions and additional election opportunities for health benefits under the

More information

SmartFusion FYE: Payroll Accruals

SmartFusion FYE: Payroll Accruals INTRODUCTION Disclaimer: This handout assumes that Fund Ledger and Payroll modules have completely been closed out for the fiscal year. If you have not closed any modules yet but need to do payroll accruals,

More information

Kula Aupuni Niihau A Kahelelani Aloha (KANAKA) Public Charter School (PCS)

Kula Aupuni Niihau A Kahelelani Aloha (KANAKA) Public Charter School (PCS) Kula Aupuni Niihau A Kahelelani Aloha (KANAKA) Public Charter School (PCS) KANAKA Financial Operations Manual Prepared by: Carbonaro CPAs & Management Group 1885 Main Street, Suite 408, Wailuku, HI 96793

More information

PCGENESIS FINANCIAL ACCOUNTING AND REPORTING (FAR) SYSTEM OPERATIONS GUIDE

PCGENESIS FINANCIAL ACCOUNTING AND REPORTING (FAR) SYSTEM OPERATIONS GUIDE PCGENESIS FINANCIAL ACCOUNTING AND REPORTING (FAR) SYSTEM OPERATIONS GUIDE 4/1/2011 Section A: Budget Account Master Processing, V2.1 Revision History Date Version Description Author 04/1/2011 2.1 11.01.00

More information

Best Practices for Monthly Reconciliation

Best Practices for Monthly Reconciliation Best Practices for Monthly Reconciliation End of Month Checklist Validate Trial Balance is in balance Update Revenue to Receivables (if applicable) Reconcile Accounts Receivable Bank Reconciliation Reconcile

More information

Banner Finance Budget Development Training Workbook

Banner Finance Budget Development Training Workbook Banner Finance Budget Development Training Workbook January 2007 Release 7.3 HIGHER EDUCATION What can we help you achieve? Confidential Business Information -------------------------------------------------------------------------------------------------------------------------------------------------------------------------------

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