AIMS. Accounts Payable Version 6.3 May 1, 2006

Size: px
Start display at page:

Download "AIMS. Accounts Payable Version 6.3 May 1, 2006"

Transcription

1 AIMS Accounts Payable Version 6.3 May 1, 2006 Copyright Western Canadian Software, 2006

2 -

3 TABLE OF CONTENTS What About Accounts Payable?... 6 Module Topics... 7 Accounts Payable Menu Options Vendor Maintenance Menu...17 Vendor Master File Maintenance...18 Vendor Notes Maintenance...22 Terms File Maintenance...23 Vendor Type Maintenance...25 Currency File Maintenance...26 Invoice Entry/Posting...28 Enter/Edit Invoices...29 Post Invoices...36 Release Holdbacks...37 Payment Processing...39 Payment Selection...40 Print Cheques...44 Quick Pay...46 Pay by Visa...47 Reconcile Cheques...48 Void Cheques...49 Year-End Processing...50 Utility Functions...51 Delete Transaction History...52 Delete Cheque History...52 Change Vendor Code...53 Change Vendor Status...54 Delete Inactive Vendors...55 Quick Vendor File Maint...56 Vendor Inquiry...58 Display Vendor Cheques...60 Cash Requirements Inquiry...62 Full Vendor Inquiry...63 Vendor File Listings...64 Vendor Master List...65 Vendor Name List...65 Vendor Labels...65 Outstanding Cheque List...66 Cash Requirements by Vendor...67 Aged Payables Report...68 Vendor Cheque List...69 Open Invoice Listing...69 Cash Requirements by Date...70

4 Vendor Payment Analysis...70 Invoice History Report...71

5 -

6 What About Accounts Payable? The Accounts Payable module has been designed to: maintain vendor-related files process vendor invoices and credit memos facilitate moving open invoices between vendors (e.g. pay by Visa) efficiently select outstanding transactions for payment print cheques reconcile and provide an outstanding cheque list provide useful inquiries and management reports Files include: Vendor Master File (AP-MSTR) Vendor Notes File (AP-NOTE) Payment Terms File (AP-DISC) Vendor Type File (AP-TYPE) Currency File (AP-CURR) A/P Open Transaction File (AP-OPEN) A/P Transaction History File (AP-HIST) A/P Cheque File (AP-TRAN) A/P Voided Transaction File (AP-VOID) What About Accounts Payable? 6

7 Module Topics Invoices Vendor invoices, credit memos and prepaid invoices are all entered through the same screen. Payment terms defined for the vendor automatically calculate invoice due date and potential discounts. When entering a prepaid invoice, you also enter the cheque number on which it was paid. You may enter holdback amounts if conditions must be met before the invoice is to be paid in full. Holdbacks may then be released into payables upon request. Invoices are usually entered against existing vendors in the Vendor Master file but you may also create temporary vendors. The vendor s invoice date is not used for posting, the system prompts for posting date. If you want invoices to post in different months, process them as separate batches. Workstation IDs Unposted invoices are stored in work files, which use the user s workstation ID as their suffix. Workstation IDs are assigned by the system at the beginning of each AIMS session. This means that if you sign on twice (or the next day) you can be assigned a different workstation ID, which prevents you from finding your unposted invoices. To avoid this you should enter and post all invoices in the same session. Alternatively, the System Doctor has an option to rename open work files to your current workstation ID (which fixes the problem). Your workstation ID is displayed in the top right corner of the AIMS Main Menu. Payments Outstanding invoices and credit memos can be selected for payment by due date or invoice number. Paying by due date uses the invoice s payment status. All invoices are assigned a payment status (usually normal) when first entered. Before selecting invoices for payment, you may change this status to pay early or hold. When the system generates cheques, or when you enter prepaid invoices, the cheque number, vendor name and cheque amount are recorded in the A/P Cheque file. This file is accessed when cheques are reconciled to change the status from outstanding to reconciled. The Void Cheque option will change this statuses to voided. You can print a report listing outstanding cheques by a user-defined cut-off date. Payroll Cheques To include AIMS payroll cheques with A/P cheques for reconciliation purposes, set up a vendor called PAYRL. The system then posts all payroll cheques to this vendor. You may reconcile these cheques the same way as payables cheques. Direct deposit P/R cheques should not be sent to A/P because they are not numbered and do not need to be reconciled. Module Topics 7

8 Currency Processing The system supports multiple currencies. Each currency is defined with an exchange rate (Canadian dollars per foreign currency dollar), and a number of currency-specific G/L accounts. These include a bank account, a bank exchange account, an A/P account, an A/P exchange account, an accrued payables account, an accrued payables exchange account, a cores receivable account and cores receivable exchange account (if using the core system) and a foreign exchange gain / loss account. Vendors have a currency code defined in their master file. When you create a transaction (invoice, credit memo or payment), the system uses default G/L accounts based on the currency. Exchange amounts calculate and post to exchange accounts so the G/L reflects the foreign amounts in Canadian dollars. A blank currency code indicates Canadian dollars. If exchange rates vary throughout the month, the exchange accounts will not be accurate on the month-end balance sheet. In this case use option #13-12 in the G/L module to re-value these accounts. A corresponding entry is made to the Gain / Loss on Foreign Exchange account stored in the Currency file. Here are the resulting G/L entries when you use the multi-currency capability: Debit Credit Entering a $1000 US invoice Accounts Payable - US Accounts Payable - US Exchange Accrued Payables - US Accrued Payables - US Exchange Paying a $1000 US invoice Accounts Payable - US Accounts Payable - US Exchange Cash - US Cash - US Exchange At Currency Revaluation (Using G/L option #13-12) (If exchange rate goes from 1.30 to 1.32 on a $1000 balance in the US cash account) Cash - US Exchange Gain / Loss on Foreign Exchange When you select transactions for payment, you are asked for the currency. All inquiries and reports that include transactions are currency-specific. If you buy bank drafts instead of maintaining a foreign bank account, print foreign cheques on blank paper, then enter your bank draft information via journal entries (i.e. credit Cash, debit Cash US and debit Cash - US Exchange.) Module Topics 8

9 Holdbacks A holdback is a contractual amount of an invoice not paid until the entire job is complete. Holdbacks are most often used in the construction industry. The Accounts Payable module handles G/L entries associated with holdbacks in Enter/Edit Invoices (option #11-10) and Release Holdbacks (option #11-12). Here is an example of G/L entries created for an invoice of $1,000 ($1,070 with GST) compared to a $1,000 ($1,070 with GST) invoice with a 15% holdback. Debit $1,000 ($1,070 with GST) invoice with no holdback Accounts Payable Contract Costs GST Receivable Credit $1,000 ($1,070 with GST) invoice with a 15% holdback Accounts Payable A/P Holdbacks Contract Costs GST Receivable GST Holdbacks Receivable The A/P credit of $ is calculated from $850 plus $59.50 GST. The A/P Holdbacks credit is $150 plus GST. The Contract Costs account is debited with $1000 (as in the example without holdback). The GST Receivable accounts are debited with the GST amounts associated with the credits to the A/P and A/P Holdback accounts. The GST Receivable for the holdback is split into a separate account because it cannot be claimed until the holdback is released. Releasing the Holdback Release the holdback through option # The G/L entry created is: Debit Credit Accounts Payable A/P Holdbacks GST Holdbacks Receivable GST Receivable Module Topics 9

10 Accounts Payable to General Ledger Interface If A/P is linked to G/L, the invoice entry program asks for disbursements to G/L. The journal entry records invoice detail for the debit, but summarizes the credit to A/P. The description for each debit journal entry is: vendor number, invoice number and invoice comment. Accounts Payable to Fixed Assets Interface If A/P is linked to F/A, the invoice entry program asks for disbursements to assets if an amount is entered against a G/L account with its F/A flag set to Y. In this case, the same amount must be disbursed against fixed assets. The amount, vendor number, invoice number and invoice comment are then posted to the asset when the invoice is posted. Accounts Payable to Job Costing Interface If A/P is linked to J/C, the invoice entry program asks for disbursements to jobs if an amount is entered against a G/L account with its J/C flag set to Y. In this case, the same amount must be disbursed to jobs and cost codes. The amount, A/P posting date, vendor number and invoice number are then posted to the job when the invoice is posted. Accounts Payable to Purchasing Interface Usually, received P/O s debit Inventory and credit Accrued Payables and an entry is made into the Accrued Payables file to maintain the sub-ledger. Later, when the A/P invoice is entered, Accrued Payables is debited and the entry to the Accrued Payables file is removed. At monthend a listing of the Accrued Payables file is used to balance G/L. But sometimes the invoice is different than the P/O. In this case the difference is usually charged to a cost of sales account called A/P - P/O Differences. This write-off can occur either when the invoice is entered (Method I) or later at month-end (Method II). Method I When A/P staff are responsible to handle these differences: the G/L distribution to Accrued Payables is made to equal the P/O amount (so the Accrued Payable file is cleared) and an entry to A/P - P/O Differences is defaulted with the difference. Method II When accounting staff are responsible to adjust all differences: A/P staff enter the invoice amount to Accrued Payables and (because it is different than the accrued amount) a P/O reconciliation screen appears. These reconciliation fields are then posted to the Accrued Payables file and, during month-end, the accounting department closes out these entries to appropriate cost accounts. In either case, four scenarios are presented: the invoice equals the P/O, the invoice is higher or lower than the P/O, the invoice covers multiple P/O s or P/O receipts, and multiple invoices cover one P/O receipt. Module Topics 10

11 Examples of each are listed below for Canadian and foreign currency (e.g. US). 1. Invoice equals P/O. Canadian Currency Accrued Payables Foreign Currency Accrued Payables - US Accrued Payables - US Exch Invoice amount is higher or lower than P/O. Canadian Currency Accrued Payables A/P - P/O Differences 1.00 (or -1.00) Foreign Currency Accrued Payables - US Accrued Payables - US Exch A/P - P/O Differences 1.00 (or -1.00) With Method I, if the difference is due to a gross price receiving error, it may go to Average Cost Adjustments to offset the item s average cost adjustment. With Method II, WCS will modify the program to default the proof amount to Accrued Payables so the P/O Distribution screen appears. 3. The A/P invoice covers multiple P/Os or P/O receipts. Canadian Currency Enter the first P/O in the invoice header. Then enter the proof amount to Accrued Payables (so the P/O Distribution screen appears). Then mark off all applicable lines. Foreign Currency Same as Canadian. 4. Multiple invoices for one P/O receipt. Canadian Currency Enter first invoice to Accrued Payables (to clear the P/O) and put the remainder to A/P - P/O Differences. Then put entire amount of additional invoices to A/P - P/O Differences. Foreign Currency Same as Canadian. With Method II, use the P/O Distribution screen for all invoices. Module Topics 11

12 Temporary Vendors A/P invoice entry lets you create a temporary vendor. The system prompts you for a name, address and currency. This information is then stored in the Vendor Master file with all other vendors. Once all payments are made and no open transactions remain for that temporary vendor, the cheque printing program deletes them. The vendor name, invoice and payment information is kept in the A/P History file and the A/P Cheque file. You can access this history by using a vendor code of T00(Currency Code), such as T00US. Vendors using Canadian dollars have a vendor code of T00CD. The invoice entry program checks temporary vendors for duplicate invoice numbers so you may have to use a suffix. Deleting a Vendor You cannot delete a vendor with open transactions. Before deleting, the system checks these files for outstanding activity: Purchase Order Header File (PO-ORDH) Accounts Payable Open Transaction File (AP-OPEN) Accounts Payable Cheque File (AP-TRAN) A/P Transaction History File (AP-HIST) Accounts Payable Invoice Work File (AP-BLS[wsid]) Vendor Pricing File (IN-VPRIC) Inactive Vendors If a vendor cannot be deleted, they can be inactivated instead. Inactive vendors do not show in searches, on reports or in inquiries. You cannot enter an invoice or purchase order against an inactive vendor. Note: inactive vendors can be listed through vendor file listings and viewed through the Vendor Full Inquiry. Negative Cheques / Zero Cheques If during payment selection you select a combination of invoices and credit memos that produce a negative cheque, the system passes them over (as if not selected) and does not print a cheque. If payment selection results in a zero balance, the system does not print a zero cheque but removes the pay items from the Outstanding Invoice file and posts them to the Paid Invoice file with a cheque number of It also writes a voided cheque to the A/P Cheque file for cheque number If this happens more than once per vendor you will have multiple cheques numbered A/P Cheque Inquiry allows drilling down to each cheque to show invoices and credit memos using a sequence number as part of the key. Module Topics 12

13 Paying GST The invoice entry program allows making debit and credit journal entries. This is handy when paying Goods & Services Tax. Enter your invoice to the Receiver General for the net remittance amount, then debit GST Payables the full amount and credit GST Receivable its full amount. The credit entry is made using a negative sign ( - ). Balancing Payables with Voided Cheques If an invoice was entered in January, paid in February and voided in March; you will have a problem printing an Aged Payables Listing -- back-dated to February: The system considers the cheque voided so the invoice shows as outstanding (when in fact it was paid according to G/L). Odds and Ends Since most utility invoices do not come with a particular invoice number, use the billing date as the invoice number. Payments to vendors made directly from your bank are usually recorded via G/L journal entries. No Payables entry is made. If you print payroll cheques through another software program and you want them recorded in A/P for reconciliation, enter them as pre-paid invoices. This is normally not done as most people cash their cheques right away. Sample Daily Paper Flow Enter and post invoices in batches. The A/P Posting Report and the related G/L Journal Edit List printed at the end of each posting should be filed together (G/L on top). File a copy of the vendor invoice as well (usually by vendor). When cheques are printed, the final Payment Selection Register, the Cheque Register and the G/L Journal Edit List should be filed together (again, G/L on top). Sample Month End Procedures A/P does not have a month-end option. However, you should print the Aged Payables Report to balance A/P to G/L and balance the Accrued Payables account to its subledger. The Aged report can be backdated to the final day of the month, which disregards entries made after the cut-off date. The Accrued Payables Listing is found in Purchasing (option #66-13). Discuss specific daily and month-end procedures with your WCS account manager and keep these recommendations as part of your system doctor. Module Topics 13

14 Training Guide 1. Module Overview a. Understand the current system. b. Review every menu option and explain the data flow. c. Discuss and decide on vendor numbers, vendor types, payment terms and currency codes. Update the A/P section of the System Master file. Discuss using pre-numbered cheques versus system-assigned cheque numbers. Set up the PAYRL vendor if reconciling payroll cheques. Discuss the A/P - P/O interface. 2. Master File Entry a. Set up the Vendor Notes file (#10-11), Payment Terms file (#10-12), Vendor Type file (#10-13), and Currency file (#10-14). b. Add, change and delete vendors using the Vendor Master file Entry (#10-10). c. Show the Full Vendor Inquiry (#23). Print the Master and Name Listings along with labels (#30). d. Set up the TEST System. 3. Invoice Entry (in TEST System) a. Demonstrate option #11-10 (Enter/Edit Invoices). Discuss how the system uses an invoice work file by workstation ID. Show how to enter invoices, credit memos and prepaid cheques. Discuss the G/L journal entry. Print an Edit List and change some entries. Discuss the benefits of using temporary vendors. Explain and show interfaces to P/O, Job Costing and Fixed Assets. b. Demonstrate option #11-11 (Post Invoices). Explain how the system posts only the invoice work file created at the same terminal. Explain how posted transactions leave the work file and post to the Open Transaction file (AP-OPEN) and how they affect the Vendor Master file (AP-MSTR). Follow the G/L journal entry through to the G/L and all interfaces. Show how to file posting reports. c. Explain Vendor Inquiry (#20), and show how to update vendor notes, invoice statuses and due dates. Explain and show the Cash Requirements Inquiry (#22). d. Show how to print the Outstanding Payable Reports. Show how to backdate the Aged Payables Report (#33). 4. Releasing Holdbacks (in TEST System) a. Demonstrate option #12 and explain the G/L journal entries. Module Topics 14

15 5. Printing Cheques (in TEST System) a. Demonstrate the payment selection process and explain how it creates and uses a work file (one per company). Create a payment work file using both available selection options (by due date and by invoice). Show how to edit the payment work file. Discuss how to take vendor discounts. b. Show how to print and reprint cheques. Explain how invoices are taken out of the Open Transaction file (AP-OPEN) and put into the Transaction History file (AP-HIST), and how cheques are put into the A/P Cheque file (AP-TRAN). Discuss the G/L entry and follow it through. Show how to file the posting reports. c. Show the Quick Pay option that allows entering and paying an invoice all in one step. d. Show the Pay by Visa option that allows moving invoices from one vendor to another. e. Show Display Vendor Cheques and demonstrate how to find payments against a particular invoice using F4. f. Print an Outstanding Cheque List. Reconcile a few cheques and print it again. g. Print and discuss the Vendor Cheque List (#34) and Vendor Payment Analysis (#37). h. Show how to void a cheque (#14). 6. Month End (in TEST System) a. Recommend that users run and file an Aged Payables Report (#33) at the end of each month as a backup to the A/P account in the G/L. b. Print the Invoice History Report (#38) to show its features. 7. Year End (in TEST System) a. Demonstrate year end processing. 8. Utilities (in TEST System) a. Explain and execute all utility functions. 9. Modifications (in TEST System) a. Format cheques and test. Module Topics 15

16 Accounts Payable Menu Options Here is the full Accounts Payable Menu showing all available functions. This manual deals with topics in order of menu option. Accounts Payable Menu Options 16

17 Vendor Maintenance Menu Menu Accounts Payable - Option #10 Files Affected: none This menu lets you select from five file maintenance options to add, change or delete data from their respective files. Vendor Maintenance Menu 17

18 Vendor Master File Maintenance Menu Vendor Maintenance - Option #10-10 Files Affected: AP-MSTR, AP-NOTE This function lets you add, change or delete vendors from the Vendor Master file. When complete, press ENTER to Continue or F4 to update purchasing and payment notes. Updating vendor notes here is the same as using Vendor Notes Maintenance (option #10-11). Vendor Master File Maintenance 18

19 Below is an explanation of each field. Field Valid Entries A=Alphanumeric N=Numeric Vend # A - 5 Name A 25 Add1 A - 25 Add2 A - 25 Add3 A 20 P/C A 11 Sort A - 5 Phone N 14 Fax N - 10 Contact A - 20 Vend Type A - 2 Terms Code A - 2 Explanation Identifies each vendor throughout the system. Vendor numbers usually consist of the first three alphabetical characters of the vendor s name followed by 01 (e.g. ABC01). Vendor numbers in the form T (followed by four digits), are reserved for temporary vendors. Set up the vendor code PAYRL if using the Payroll module. This allows A/P inquiries and reports to access payroll cheque information. Vendor s name. Used to store a vendor name that is too long for the above field, or additional address information (e.g. P.O. Box). Otherwise it is usually left blank. Vendor s street address shows on the Vendor Search. Vendor s city and province/state shows on the Vendor Search. Vendor s postal code. Usually the first five characters of the vendor name. Used during the Vendor Search to find vendors alphabetically. Vendor s telephone number. Vendor s fax number to be used by the faxing program to fax P/O s. Include the area code for long-distance numbers only. Name of a contact at the vendor usually the person to whom you fax P/Os, or the person responsible for the company s payables. Enter a valid code from the Vendor Type file. This code lets you group like vendors together. The description of the code is displayed. Shows payment terms required by the vendor. The description of the terms code is displayed. Enter / Edit Invoices uses this code to calculate invoice due date and the early payment discount allowed. Vendor Master File Maintenance 19

20 Field Curr Code A - 2 G/L Acct A Ship Inst A - 2 Min Purch Amt N Price P/O A - 1 (Y, N) GST Applicable A - 1 (Y, N) GST # A 15 Lead Time N Review Time N Payment By EFT A - 1 (Y, N) Bank # A - 12 Transit # A - 12 Account # A A - 40 Explanation Currency required by the vendor (leave blank for Canadian dollars). Vendor transactions use this code to determine appropriate G/L accounts. You can change this field only if the vendor s A/P balance is zero and no transactions exist. G/L account where charges from this vendor are usually allocated. It defaults when you enter A/P invoices. If using the A/P-P/O interface, this default is overridden with the Accrued Payables account (so maybe leave this field blank for product suppliers). Stores your company s preferred method of shipping from this vendor. The Purchase Order Entry program uses this field. Minimum purchase amount required by the vendor. This field displays in the Purchase Order Entry program. Whether P/O s to this vendor should be priced. It defaults to Y. Whether the vendor charges GST. It defaults to Y if the vendor s currency field is blank (for Canadian). The vendor s GST number. Used to calculate automatic min/max levels in the Inventory module. If the vendor lead time in the Alternate Vendor file is left blank, the system uses the value here. See Module Topics in Inventory. Used to calculate the Inventory max value. See Module Topics in Inventory. Whether the vendor is paid via electronic funds transfer. The system does not include all programming for EFT. These fields are only available to facilitate modifications. Bank number used with EFT. Bank transit number used with EFT. Bank account number used with EFT. address used for ing P/O s (if no is found in the Vendor Ship From file). Vendor Master File Maintenance 20

21 The fields below are stored in the Vendor Master file but are not maintained in this option. Some are displayed in the Vendor Inquiry (#20), and all are displayed in the Full Vendor Inquiry (#23). We describe them here for information purposes. Field Valid Entries A=Alphanumeric N=Numeric Last Purchase A - 8 Last Payment A - 8 Balance Due N YTD Purchases N Prior YTD Purchases N Explanation Date of last purchase from this vendor (i.e. date of the last invoice entered for this vendor). Date of last payment made to this vendor (i.e. date of the last cheque made to this vendor). Total outstanding payables due to this vendor. Year-to-date purchases made from this vendor. This amount is strictly the dollar value of the purchases and does not include any amount paid for GST. It is updated by the Post Invoices program. Year-to-date purchases from the prior year. This amount is strictly the dollar value of the purchases and does not include any amount paid for GST. The system updates this amount during year-end processing using information from YTD Purchases. Vendor Master File Maintenance 21

22 Vendor Notes Maintenance Menu Vendor Maintenance - Option #10-11 Files Affected: AP-NOTE This option lets you maintain payment and purchase notes for vendors. Up to 800 lines are available for each note. Payment notes are displayed in the Vendor Inquiry. Purchase notes are displayed in Purchase Order Entry (in the Purchasing module). The system prompts for the Vendor Code. Then choose the type of note you want to access. You will then see the first page of notes. Make any changes here. Press F1 to insert the system date along with your Used ID. PgUp and PgDn take you to the previous or next page. Vendor Notes Maintenance 22

23 Terms File Maintenance Menu Vendor Maintenance - Option #10-12 Files Affected: AP-DISC This function lets you add, change, delete or list payment terms extended by vendors. For example, a payment term of 2%/10 Net 30 means you may take a 2% discount if you pay the full invoice within ten days. If you pay the invoice after ten days, you cannot take the discount. Field Terms Code A - 2 Terms Desc A - 15 Terms % N Terms Days N - 3 Terms Months N - 1 Explanation Payment terms code. Single character codes will be filled with zeros. Description of the payment term. Discount percentage (if any) given if the invoice is paid on time. Number of days the invoice is required to be paid within. Number of months (after the invoice date) that the invoice is required to be paid. It works with Terms Days. E.g. if payment is due on the 20th of the following month, Terms Months should be 1 and Terms Days should be 20. If the terms do not cross into the following month, then set this field to zero. Terms File Maintenance 23

24 Here are two more examples of how to set up payment terms: "Net 30 days" "Upon Receipt" Terms File Maintenance 24

25 Vendor Type Maintenance Menu Vendor Maintenance - Option #10-13 Files Affected: AP-TYPE This function lets you add, change, delete or list vendor types in the Vendor Type file. Vendor types are assigned to vendors in the Vendor Master file and used to sort and select reports and inquiries. Field Valid Entries A=Alphanumeric N=Numeric Vendor Type Code A 2 Vendor Type Desc A - 30 Explanation The vendor type code being accessed. Description of the vendor type. Vendor Type Maintenance 25

26 Currency File Maintenance Menu Vendor Maintenance - Option #10-14 Files Affected: AP-CURR This function lets you add, change, delete or list currency codes from the A/P Currency file. The system uses this information for A/P invoices and payments in foreign currencies. Field Valid Entries A=Alphanumeric N=Numeric Currency Code A - 2 Description A 30 Exchange Rate N Explanation Currency code being accessed must contain at least one alpha character so the historical temporary vendor code T00(currency code) is not deleted with all other temporary vendors. Description of the currency (e.g. US funds). Exchange rate for this currency in Canadian dollars. Currency File Maintenance 26

27 Field Bank Account N Bank Exchange Account N A/P Account N A/P Exchange Account N Holdback Account N Holdback Exch Account N Gain / Loss Account N Next Cheque # N - 5 Accrued Payables Acct N Accr Payables Exch Acct N Cores Receivable Acct N Cores Receivable Exch Acct N Explanation Foreign currency bank G/L account. G/L code for the exchange amount related to the balance in the foreign bank account. Foreign accounts payable G/L account. G/L code for the exchange amount related to the balance in the foreign A/P account. G/L code for holdback amounts on invoices payable in this foreign currency. If you are not using multi-currency holdbacks, leave blank. G/L code for the exchange amount related to the balance in the foreign holdback account. If you are not using multi-currency holdbacks, leave blank. G/L code for the tracking of gains and losses on this foreign currency. Next cheque number to be used for this currency (if the system assigns cheque numbers). The Accrued Payables G/L account for this currency. P/O posting and A/P Invoice posting use this field during A/P - P/O matching. See Purchasing Module Topics - A/P to P/O Interface. The Accrued Payables Exchange G/L account for this currency. The Cores Receivable G/L account for this currency. P/O posting updates this account with vendor core charges. See Purchasing Module Topics Core Charges. The Cores Receivable Exchange G/L account for this currency. See Module Topics - Currency Processing to learn more about multiple-currency processing. Currency File Maintenance 27

28 Invoice Entry/Posting Menu Accounts Payable - Option #11 Files Affected: These menu options let you enter or edit vendor invoices and post them. If applicable, you can also release vendor holdbacks. Invoice Entry/Posting 28

29 Enter/Edit Invoices Menu Invoice Entry/Posting - Option #11-10 Files Affected: GL-SYSM, AP-MSTR, AP-DEF, AP-DEG, AP-DEH, AP-DEJ This function lets you enter vendor invoices and credit memos. You can also enter prepaid invoices. The system stores transactions entered through this option in work files. One work file stores the header information; separate files store distributions for each of G/L, Job Costing, Fixed Assets and Purchasing respectively. To facilitate these disbursements, you must link the G/L, Job Costing, Fixed Assets and Purchasing modules to A/P by setting the related flags in the System Master file. You may view transactions in these work files on the screen or print an Edit List to check and change prior to posting. Here is an example of the header portion of the entry screen. Available fields on the header portion of the invoice or credit memo include: Field Vendor Code A - 5 Explanation Vendor code for the transaction. It defaults to its previous entry to accommodate entering multiple invoices from the same vendor. You cannot use the vendor code T00(currency code), which are used for historical inquiries only. Press F1 to create a temporary vendor (see Temporary Vendors in Module Topics). Inv Type A - 1 (Invoice, Credit Memo) Whether the transaction is an invoice or a credit memo. Select from the Reference Types window that appears. Enter/Edit Invoices 29

30 Field Inv/Ref # A - 12 Ref Date N - 6 (MMDDYY) Terms A - 2 Due Date N - 6 (MMDDYY) P/O # N - 7 Explanation Vendor s invoice or reference number. The system makes sure this number has not already been entered for this vendor by checking the Invoice Header Work file, the Open (i.e. outstanding) Invoice file, the Transaction History file (i.e. paid invoice file) and other work files for all other workstations. Vendor s invoice date. The default is the system date. The system does not use this date for posting. A G/L posting date is asked for during the posting option. As a result, all invoices for a batch are posted to the same G/L period. To facilitate posting to multiple G/L periods, enter multiple batches. Payment terms for this invoice. The default is the payment terms defined in the Vendor Master file, but may be overwritten. Date the invoice is required to be paid. If discounts apply, this becomes the date you must pay by to qualify for the discount. The default is calculated by adding the number of days in the vendor terms code to the invoice date. This field only appears if the AP - P/O interface flag is on. It identifies the purchase order number for this invoice. Later, in the detail portion of the screen, detail lines from this P/O may appear. You may enter a P/O for another vendor. This accommodates paying with Visa, or correcting P/Os made to the wrong vendor. Rec # N - 3 P/O receiving number. It calculates the default value of the next field (Gross Amount) and automatically selects the appropriate lines to reconcile in the Accrued Payable file. It defaults to the next receiving number for the P/O (e.g. if 001 has been received, 002 will default). And the system warns if an invoice has already been entered against this P/O receipt. Gross Amount defaults to the amount of the receiving plus applicable taxes. Entering blank will default gross amount to the total of all outstanding receipts for the P/O and will force the P/O Distribution screen. Gross Amount N Total invoice or credit memo amount, including applicable tax. All values entered are positive, even if the entry is a credit memo. Field Explanation Enter/Edit Invoices 30

31 Disc Amount N Possible discount amount on the invoice. The default is calculated using the terms code percentage, but can be overwritten. For GST applicable vendors, the system calculates the discount by first deducting the applicable tax from the Gross Amount, then applying the terms code percentage to the net amount. H/B % N H/B Amt N Net Amount N Prepaid A - 1 (Y, N) Cheque N - 5 Comment A - 20 Stat A - 1 (N, H, P) Percentage of the gross invoice to be held back. (This field appears only if the holdback flag in the System Master file is set to Y.) Holdback amount calculated by multiplying the holdback percentage by the gross amount. This holdback amount is not included when the invoice is paid. Net amount due for the invoice. The system calculates it by subtracting the discount and holdback amounts from gross. Whether the invoice has already been paid. N: (the default) assumes the invoice has not been paid. Y: says the invoice has been paid you will then be prompted to enter the cheque number. Prepaid invoices update the A/P Cheque file but not the A/P Open Invoice file and credit the Cash G/L account rather than Accounts Payable. Cheque number used to prepay the invoice. The system prompts for this only if the prepaid field is set to Y. The system will not allow entering a cheque number that has already been used. You also cannot enter cheque number since it is reserved by the system. Optional reference field to describe the invoice. It appears on the inquiry, forms part of the posting description to the G/L, and (if requested) prints on the cheque stub. Payment status of the invoice or credit memo. The choices are: N Normal: Invoice can be selected for payment By Due Date through the Payment Selection option. H Hold: Invoice is on hold and will not be selected By Due Date, regardless of due date. P Pay Early: Invoice will be selected for payment By Due Date, even if due date is not within the cut-off. Enter/Edit Invoices 31

32 G/L INTERFACE Below is the General Ledger portion of the entry screen used to distribute the transaction to various G/L accounts. This screen appears after you finish entering the header. A G/L Proof appears in the lower left corner, which tracks the amount left to be distributed. Distribution amounts are entered one line at a time. Function key F2 takes you to the J/C distribution screen, F5 to the F/A distribution screen and F8 to the P/O distribution screen. Field G/L Acct A Explanation G/L account where the amount is to be distributed. This field may default to a predefined G/L account, depending on the nature of the transaction. For example, when you enter any invoice payable to a GST applicable vendor, the first line displays the GST Receivable account with the GST amount payable. Confirm the entry or change it. Once GST has been disbursed, the G/L account in the Vendor Master file defaults with the balance of the invoice left to be distributed. Again, accept this account or change it. Amount N (may be negative) If a P/O was entered in the header, the G/L account defaults to the Accrued Payables account from the System Master file (or from the Currency file). If there is a difference between the P/O and invoice, the A/P - P/O account defaults. Amount to be distributed to the specified G/L account. This field may be negative for a credit entry. For example, you can distribute $100 as a $150 debit to one account and a $50 credit to another. Paying GST is an example of when to use this feature. Enter/Edit Invoices 32

33 P/O INTERFACE If the disbursement to the Accrued Payables G/L account is different from the amount already posted by the P/O, then you are required to make a P/O distribution. The P/O Proof amount shows the amount left to distribute. The G/L distribution is interrupted by this P/O interface. Here is an example of the P/O disbursement screen: Make sure the P/O proof is zero before pressing F3 to end. These fields are used for the P/O distribution. Field Status A - 1 Qty Inv N - 10.X Unit Price N - 12.X Explanation Whether the line is complete or should be adjusted. Choose Y to show it s complete and A to adjust. Quantity of items billed for (as opposed to the quantity ordered). Unit price that was billed (as opposed to the unit price on the P/O). Enter/Edit Invoices 33

34 JOB COST INTERFACE If at least one G/L disbursement account has its J/C link set to Y, a J/C distribution is necessary. The J/C Proof shows the amount left to distribute. Here is an example of the Job Cost disbursement screen: Make sure the J/C proof is zero before pressing F3 to end. The following fields are used for J/C distribution. Field Job A 8 Cost Code A 9 Amount N (may be negative) Units N (may be negative) Explanation Job number where the amount is to be distributed. Cost code within the job to which this distribution should be made. Amount to be distributed. It defaults to the J/C Proof. This field may be negative for a credit entry. For example, you may distribute $100 as a $150 debit to one job and cost code, and a $50 credit to another. Cost disbursements to unit-cost type cost codes ask for the number of units (not just the lump-sum amount). Enter/Edit Invoices 34

35 FIXED ASSETS INTERFACE If the F/A link for at least one G/L disbursement account is also set to Y, a F/A distribution is necessary. The F/A Proof shows the amount left to distribute. Here is an example of the Fixed Asset disbursement portion of the entry screen: Distribute amounts until the F/A Proof is zero. Here are the fields used for F/A distribution. Field Equip A 16 Type A - 2 (01, 03, 06, 07) Amount N (may be negative) Explanation Asset / equipment number where the amount is to be distributed. F/A transaction type for this entry. Choose from: 01: Capital Improvements 03: Repair Material 06: Outside Labour 07: Interest Amount to be distributed. It defaults to the F/A Proof. This field may be negative for a credit entry. For example, you may distribute $100 as a $150 debit to one piece of equipment, and a $50 credit to another. Enter/Edit Invoices 35

36 Post Invoices Menu Accounts Payable - Option #11-11 Files Affected: AP-MSTR, AP-OPEN, AP-GLDO, AP-DEH, AP-DEG, AP-DEJ,AP-DEF, MG-TODAY, JC-[conum], EC-[conum] For prepaids: AP-TRAN, AP-HIST, AP-GLDH This function lets you post outstanding invoices and credit memos entered through Enter / Edit Invoices. When you select this option, the system only posts transactions entered at the workstation you post from. To review unposted transactions before posting choose L to list or E to view, from Enter / Edit Invoices (option #11-10). Posting updates YTD purchases (net of GST), balance owing and last purchase date in the Vendor Master file. The screen below prompts you for the posting date. The default is the current date. After you enter the date, confirm the posting or press F3 to back out. The journal entry created records invoice detail for the debit, but summarizes the credit to A/P. The G/L description includes the vendor number, invoice number and comment. Post Invoices 36

37 When the J/C module is interfaced, information is sent to the Job Costing Transaction work file. Amount, transaction type, transaction description (made up of system date, vendor code and invoice number) and date are interfaced. When the F/A module is interfaced, information is sent to the Fixed Assets Transaction work file. Transaction type, vendor number and invoice number (in the reference field), comment and date are interfaced. When the Purchasing module is interfaced, the system updates the PO-ACCR file. If the invoice amount equals the P/O amount, the system deletes appropriate records from the file. If the amounts do not match, then the system updates the corresponding record with the invoice information. In this case, the record needs to be closed out later using Purchasing Accrual Closing options. The exchange rate for foreign currency invoices is posted to the AP-OPEN file but is not used by the system. Release Holdbacks Release Holdbacks 37

38 Menu Accounts Payable - Option #11-12 Files Affected: AP-MSTR, AP-OPEN This function lets you release holdbacks for payment. It is only applicable if the Holdbacks flag in the A/P section of the System Master file is on. The system prompts for G/L posting date, which is used for journal entries created by this option. The default is the current date. Then specify the currency of the invoices you want to access (leave blank for Canadian dollars). The following screen appears for a specified vendor; it lists all unpaid invoices. Use PgUp and PgDn to scroll. Press Enter to release holdback amounts. Enter the invoice number with the holdback, confirm or change the release amount, then confirm the due date. Changes appear on the bottom line. Releasing holdbacks creates a journal entry to credit Accounts Payable and debit A/P Holdbacks Payable. It also credits GST Receivable and debits GST Holdback Receivable. Release Holdbacks 38

39 Payment Processing Menu Accounts Payable - Option #12 Files Affected: none This menu lets you select invoices for payment, then print cheques. Payment Processing 39

40 Payment Selection Menu Accounts Payable - Option #12-10 Files Affected: AP-OPEN, AP-SEL This option lets you select outstanding invoices and credit memos for payment. When you select transactions for payment, information is stored in the Payment Selection file. Once cheques for these payments are printed, the system deletes the Payment Selection file. Only one Payment Selection file exists at a time (it s not by workstation). If a Payment Selection file already exists, you may Edit Existing File or ignore the transactions already selected and reselect, which creates a new Payment Selection file. Editing the file is similar in operation to selecting By Invoice. If no Payment Selection file exists, or if you Create a New Selection File, the system prompts you to choose how invoices are selected for payment. By Due Date: Choose whether to select invoices for One Vendor or ALL Vendors. If you choose One Vendor, the system prompts you for the vendor code. Press F4 to search. The next prompt is for the cut-off date. All transactions with payment status normal and a due date prior to or equal to this cut-off date will be selected along with all transactions with payment status equal to pay early. Transactions with a payment status of on hold will be ignored. Any invoices due before the cut-off date will have their discount amount set to zero, with the following exception: If you want to take discounts on invoices due within a certain number of days prior to the cut-off date, specify this number of days in the next window. For example, if the invoice is due on November 25 th and the cut-off date is November 29 th, you can take the discount by specifying four days. Payment Selection 40

41 Usually only invoices dated up to the cut-off date are selected for payment. Using the next field, you may include invoices with discounts due after the cut-off to ensure you don t miss any discount opportunities. Invoices with discounts X number of days into the future can be selected for payment. For example, if your cut-off is March 23 rd and an invoice due on March 30 th has a 2% discount, it can be selected by specifying seven days in this next window. After you finish choosing transactions for payment By Due Date, this screen will appear. You MUST choose Enter to save the selections. The Payment Selection Report lists all transactions selected for payment. They will be paid the next time you print cheques. You may edit selections or re-select (i.e. start over). Payment Selection 41

42 By Invoice: This payment method lets you select individual invoices for payment. First indicate the vendor whose transactions you want to select. Standard function keys are available or press F6 to display transactions already in the Payment Selection file. The screen displays outstanding invoices for the vendor. In the CD column, enter F to pay invoices in full or P to pay a partial amount. If you select an invoice with a status of H (hold), the system gives a warning but lets you continue. When you F3 to End, a screen will appear asking whether to print the Payment Selection report. Press Enter to print it, or F3 to go back to the menu without printing. Either choice saves all transactions in the Payment Selection file. The Payment Selection report lists all transactions selected. These entries will be paid if you run the Print Cheque program. If the report shows errors, you may edit or re-select (start over). Payment Selection 42

43 These fields are available when you edit or create the Payment Selection file. Field Valid Entries A=Alphanumeric N=Numeric Vend # A - 5 Payment Notes A Inv # A - 12 Ref Date N 6 (MMDDYY) Due Date N-6 (MMDDYY) St A - 1 (N, H, P) Net N Disc N CD A - 1 (F, P) Pay Amt N Explanation Vendor who has outstanding transactions. The vendor code, name and street address are displayed along with currency code, total due and payment terms. Payment notes for this vendor. The two most recent lines are shown. Press F4 to edit. Vendor s invoice number or credit memo to be selected for payment. Press F5 to see transaction detail. Invoice (or credit memo) date. Date the payment is due. Status of the invoice or credit memo as normal, hold or pay early. Amount due (gross less discount). If you input a discount while making a partial payment, this amount changes. Discount amount available. The discount may be taken even if the due date has already passed. You may edit this field only if making a partial payment. Enter F for full payment or P for partial payment. Amount of invoice to pay. F defaults the net amount. For a partial payment ( P ), the system prompts for the amount. Enter zero to remove or de-select the invoice. You cannot release or pay holdbacks from this screen they must first be released. Payment Selection 43

44 Print Cheques Menu Accounts Payable - Option #12-11 Files Affected: GL-SYSM, AP-OPEN, AP-GLDH, AP-GLDO, AP-HIST, AP-TRAN, AP-MSTR, AP- CURR, AP-SEL This option prints cheques for transactions selected through option #12-10 (Payment Selection). If you have not selected anything, no cheques will print. When cheques are printed, balance owing and last payment date for vendors are updated in the Vendor Master file. You are prompted for currency (leave blank for Canadian) and the posting date. Enter the date you want printed on cheques and used for G/L. The default is today. If the Pre-Numbered Cheques flag is on, you will be prompted for the starting cheque number. Cheque date equals posting date. A confirmation screen will appear. Print Cheques 44

45 Press F1 to print an alignment pattern to line up cheque forms. Press F3 to End back to the menu without printing. Press Enter to print cheques. After cheques print, you may reprint if necessary (e.g. the printer jammed). Choose to reprint a range of cheques or all cheques. Once cheque printing is complete, the system: updates A/P Cheque file with cheque information deletes newly paid invoices and credit memos from the A/P Open Transaction file updates General Ledger deletes temporary vendors where possible prints a G/L Journal Entry List writes the exchange rate for foreign currency payments to the A/P Transaction History file (but this rate is not used by the system) If selected invoices and credit memos for a vendor equal zero, a cheque will not be printed but the A/P Open Transaction file will be cleared of these transactions and the A/P Transaction History and Cheque files will be updated using cheque number Print Cheques 45

46 Quick Pay Menu Accounts Payable - Option #12-12 Files Affected: This option lets you enter and pay an invoice all in one step. Only one invoice can be entered per cheque. Enter the invoice as described under Enter / Edit Invoices (option #11-10). When complete, the system asks whether to post the invoice. When posting, you are taken through payment questions similar to option # G/L is updated like A/P Print Cheques (not like A/P Post Bills which posts vendor code, invoice # and comment to the debit account). Quick Pay 46

47 Pay by Visa Menu Accounts Payable - Option #12-13 Files Affected: This option lets you move a payable invoice from one vendor to another. It is typically used to indicate that an invoice has been paid by Visa, Master Card, etc. Enter the from and to vendor as per the screen below. The payment selection screen (previously described) will appear. Select all invoices to be moved and indicate any applicable payment discounts. A journal entry will be created to record payment discounts (e.g. paying a $100 invoice with a 2% early payment discount by Visa, will leave a $98 payable invoice and make an entry to record the $2 payment discount by debiting A/P and crediting COGS Payment Discounts). Posting will create a credit memo for the from vendor using date and time for invoice number and Pay by Visa to vendor in comment. It also moves both invoices and credit memo to history using cheque number The from vendor has an invoice created using date and time as invoice number and Pay by Visa from vendor in comment. Pay by Visa 47

48 Reconcile Cheques Menu Accounts Payable - Option #13 Files Affected: AP-TRAN, AP-REC This function reconciles outstanding cheques. Process cheques individually by cheque number, or reconcile a cheque range. You can also reprint a reconciliation report. If multi-currency, you will be prompted for the currency code. To reconcile cheques individually, enter each cheque number. As each cheque appears on the screen, select reconcile, unreconcile, or next duplicate cheque. R for Reconcile records the cheque as reconciled. U for Unreconcile reverses the previous reconciliation to mark the cheque as not reconciled. N for Next Dup Chq brings up the next cheque with the same cheque number and lets you reconcile or unreconcile it. Duplicate cheques can result by payroll cheques entering the A/P cheque number sequence or by entering the wrong starting number for pre-numbered cheques. Check for duplicates when you enter a cheque number and make sure the cheque amount and vendor match what you expect. A search is available at cheque number. It only lists cheques that are unreconciled Reconcile Cheques 48

49 Void Cheques Menu Accounts Payable - Option #14 Files Affected: AP-TRAN This option lets you void outstanding cheques. It creates a journal entry to negate the cheque and reinstates the invoices as payable. You will be prompted for the G/L posting date. Then enter the vendor number, followed by the cheque number. Press F4 to search. A confirmation screen will appear to let you continue or back up using F3. If you void a cheque for a temporary vendor, the system prompts for the temporary vendor information (since it is no longer on the system). If you void a prepaid cheque (entered through A/P Invoice Entry), no invoice is reinstated and a journal entry is made to reverse the original entry. You cannot void a reconciled cheque. If duplicate cheques are found, the system presents a window for the user to select the correct one. Void Cheques 49

50 Year-End Processing Menu Accounts Payable - Option #15 Files Affected: AP-MSTR This function resets year-to-date purchases to zero for each vendor. It also moves this amount to prior year-to-date purchases. This program does not use a cut-off date, so make sure today is the correct date to process year-end. This screen will appear: Year-End Processing 50

51 Utility Functions Menu Accounts Payable - Option #19 Files Affected: These seven utility programs are available: Utility Functions 51

52 Delete Transaction History Menu Utilities - Option #19-10 Files Affected: AP-HIST This function deletes all records in the A/P Transaction History file dated on or before the specified cut-off date. All deleted records are physically removed from the disk. Delete Cheque History Menu Utilities - Option #19-11 Files Affected: AP-TRAN This function deletes all records in the A/P Cheque file dated on or before the specified cut-off date. All deleted records are physically removed from the disk. Delete Transaction History 52

53 Change Vendor Code Menu Utilities - Option #19-12 Files Affected: AP-MSTR, AP-GLDH, AP-GLDO, AP-GLDV, AP-HIST, AP-NOTE, AP-OPEN, AP-SHIP, AP-TRAN, AP-VOID, AP-DEH, AP-DEG, AP-DEJ, AP-DEF, AP-SEL, PO-DETD, PO- DETH, PO-NOTE, PO-ORDH, IN-PW, IN-COUNT, IN-CSTF, IN-MSTR, IN-VPRIC, IN- VWORK, TH-HIST, TH-MSTR, TH-OPEN, TH-BLS, OE-PRICE, SA-DETD, RB-DETD This function changes all references from one vendor code to a new vendor code. Enter both the old and new codes. Press F4 to search. Confirm the change. The system searches through all files and replaces the old vendor code with the new one. Change Vendor Code 53

54 Change Vendor Status Menu Utilities - Option #19-13 Files Affected: AP-MSTR This function lets you inactivate a vendor. Inactivate vendors do not display in vendor searches and cannot have transactions (e.g. P/O s, invoices) entered against them. You are prompted for the vendor code. Choose whether to inactivate or reactivate them. Change Vendor Status 54

55 Delete Inactive Vendors Menu Utilities - Option #19-14 Files Affected: AP-MSTR This function physically deletes vendors tagged as inactive. They can only be physically deleted if they now meet the deletion criteria (i.e. they no longer have historical data on the system). Delete Inactive Vendors 55

56 Quick Vendor File Maint Menu Utilities - Option #19-15 Files Affected: AP-MSTR This function provides a quick method to individually update vendor master data. Use the arrow and Enter keys to select the fields you wish to update. Then press F1 to accept your selection. You will then be presented with the Vendor Master file. Press Enter to scroll though vendors. The Set Next Key feature is also available. You may also use F1, F2 to move between vendors but this does not update any data. You must press Enter in order for a change to take affect. Quick Vendor File Maint 56

57 An audit trail of all changes prints and is stored by the system. It is accessible through System Doctor option #31. Quick Vendor File Maint 57

58 Vendor Inquiry Menu Accounts Payable - Option #20 Files Affected: AP-MSTR, AP-NOTE, AP-OPEN, AP-DISC This function provides a detailed inquiry into the account of a specified vendor. The screen displays important vendor information, payment notes and open transactions for the vendor. You are prompted for a vendor code. You can select a group of vendors using the Set Next Key. F4 lets you update vendor payment notes, F5 takes you to the payment history inquiry (option #21) and F6 lets you revise the due date and payment status (whether normal, hold or pay early). Vendor Inquiry 58

59 If you press Enter when a specific invoice is highlighted, detailed information appears: F-keys will show disbursements made to Purchasing, Fixed Assets and Job Costing. You can also press F12 to see the G/L batch to which this transaction belongs. To search a temporary vendor, search their name using the sort code field in the vendor search. Each temporary vendor is assigned a vendor number in the form of T (followed by four digits). Vendor Inquiry 59

60 Display Vendor Cheques Menu Accounts Payable - Option #21 Files Affected: AP-MSTR, AP-TRAN, AP-HIST, AP-GLDH This function displays all cheques for a particular vendor in reverse date order (most recent cheques first). Cheque detail includes the cheque number, cheque date, cheque amount and status (Outstanding, Reconciled or Voided). Select F4 to display paid invoices along with their cheque information. You will be prompted to enter the starting invoice number and the following window will appear showing paid invoices for the vendor matched to the cheque number and cheque date they were paid. Display Vendor Cheques 60

61 If you press ENTER when a specific cheque is highlighted, detailed cheque information shows: Then press Enter on a specific invoice to see detailed invoice information. If you see multiple cheque number records, the drill down displays properly because the system maintains a unique identifier in addition to cheque number.. The system stores historical cheques and invoices for temporary vendors under the vendor code T00 (followed by currency). Cheques written through the Payroll module are stored under vendor number PAYRL. Display Vendor Cheques 61

62 Cash Requirements Inquiry Menu Accounts Payable - Option #22 Files Affected: AP-OPEN, AP-MSTR, AP-CURR This function displays the company s cash requirements by due date. This inquiry is similar to the Cash Requirements by Date report. You will be prompted for the currency (leave blank for Canadian.) Beginning with the earliest due date, the system lists all outstanding invoices and credit memos due that day. It gives a daily total and a cumulative running total of all daily totals to show the total cash required. Cash Requirements Inquiry 62

63 Full Vendor Inquiry Menu Accounts Payable - Option #23 Files Affected: AP-MSTR This function displays information for each vendor. You can scroll through in various ways using the Set Next Key. The following screen appears: Press F4 to view vendor notes. Press F5 to view vendor ship-froms. Full Vendor Inquiry 63

AIMS. Job Costing Version 6.3 May 1, 2006

AIMS. Job Costing Version 6.3 May 1, 2006 AIMS Job Costing Version 6.3 May 1, 2006 Copyright Western Canadian Software, 2006 - TABLE OF CONTENTS What About Job Costing?... 1 Module Topics... 2 Job Costing Menu Options... 7 J/C File Maintenance

More information

AIMS Version 6.3. Feature presentation

AIMS Version 6.3. Feature presentation AIMS Version 6.3 Feature presentation AIMS System 6.3 Standard overlay forms all forms are laser ready with your logo New E-Commerce module on-line ordering from your web page Dashboard rewrite of company

More information

Financials 102. Accounts Payable

Financials 102. Accounts Payable Financials 102 Accounts Payable Introduction to This Guide Copyright Copyright 2010 ACS Technologies Group, Inc. All rights reserved. Reproduction of any part of this publication by mechanical or electronic

More information

Printed in the USA by: clubsystems group, inc.

Printed in the USA by: clubsystems group, inc. Copyright 2012 All rights reserved. This book is for the use of the clients and customers of clubsystems group, inc. in conjunction with their software. This book may not be duplicated in any way without

More information

International Institute of Tropical Agriculture

International Institute of Tropical Agriculture ORACLE FINANCIALS USER GUIDE International Institute of Tropical Agriculture Accounts Payable Author: Oracle Implementation Team Creation Date: October 27, 2001 Last Updated: October 27, 2001 Control Number:

More information

APVENDMTN Reference Manual. Version 10.0 Revision Date 5/1/04

APVENDMTN Reference Manual. Version 10.0 Revision Date 5/1/04 Reference Manual Version 10.0 Revision Date 5/1/04 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

Utilit-e Insight Getting

Utilit-e Insight Getting 2018 User Group Meeting June 4-7, 2018 Utilit-e Insight Getting Started with GL, AP, AR By: Amy Kuhlmann & Heather Fineran Date: 6/4/2018 Page: 1 Table of Contents Getting Started with the General Ledger...

More information

Sessions 1-6 and 1-7 Sage 300 CRE: Reconciliation Lab

Sessions 1-6 and 1-7 Sage 300 CRE: Reconciliation Lab Sessions 1-6 and 1-7 Friday, October 13 10:15am 11:45am Room 615AB Friday, October 13 1:00pm 2:30pm Room 615AB Sessions 1-6 and 1-7 Sage 300 CRE: Reconciliation Lab Presented By: Kathy Lewis Kathy Lewis

More information

VENDOR INFORMATION DOCUMENTATION UPDATES

VENDOR INFORMATION DOCUMENTATION UPDATES DOCUMENTATION UPDATES Date Description Where Changed 8/21/02 Service vendors should be assigned a Class from 50 to 98. Class 99 is now reserved by the system to identify temporary vendors created in Payables.

More information

Year End Closing Procedures for. Microsoft Dynamics GP. Martin & Associates

Year End Closing Procedures for. Microsoft Dynamics GP. Martin & Associates Year End Closing Procedures for 2017 Microsoft Dynamics GP Martin & Associates Table of Contents Year-End Closing procedures in Inventory Control in Microsoft Dynamics GP... 3 Inventory year-end closing

More information

Step Action See: 1 Install MYOB AccountEdge page 3. 2 Upgrade your files page 3. 3 Read about the new features in MYOB AccountEdge page 6

Step Action See: 1 Install MYOB AccountEdge page 3. 2 Upgrade your files page 3. 3 Read about the new features in MYOB AccountEdge page 6 MYOB AccountEdge v6 Release Notes MYOB Licence Agreement IMPORTANT READ THIS CAREFULLY BEFORE PROCEEDING. This Product (consisting of the user documentation and the installation CD or other media containing

More information

Accounts Payable PARTICIPANT WORKBOOK

Accounts Payable PARTICIPANT WORKBOOK Accounts Payable PARTICIPANT WORKBOOK INTEGRATED SOFTWARE SERIES Accounts Payable PARTICIPANT WORKBOOK Version 3 Copyright 2005 2009 Interactive Financial Solutions, Inc. All Rights Reserved. Integrated

More information

AP Invoice Entry. This tech note contains the tasks to create, edit, and post invoice transactions.

AP Invoice Entry. This tech note contains the tasks to create, edit, and post invoice transactions. AP Invoice Entry Overview This tech note contains the tasks to create, edit, and post invoice transactions. I. Data Entry This task is for the data entry and editing of invoice transactions. Invoices are

More information

Data Exchange Module. Vendor Invoice Import

Data Exchange Module. Vendor Invoice Import Data Exchange Module Vendor Invoice Import Information in this document is subject to change without notice and does not represent a commitment on the part of Dexter + Chaney. The software described in

More information

Question: 1 Which four statements are true about modifying a payment batch? (Choose four.)

Question: 1 Which four statements are true about modifying a payment batch? (Choose four.) Question: 1 Which four statements are true about modifying a payment batch? (Choose four.) A. You can create a zero-amount payment for a supplier site. B. You can remove all invoices for a particular supplier

More information

MSI Accounts Payable Version 7.5

MSI Accounts Payable Version 7.5 MSI Accounts Payable 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

Welcome to the topic on purchasing items.

Welcome to the topic on purchasing items. Welcome to the topic on purchasing items. 1 In this topic, we will perform the basic steps for purchasing items. As we go through the process, we will explain the consequences of each process step on inventory

More information

3 Customers. Chapter LEARNING OBJECTIVES

3 Customers. Chapter LEARNING OBJECTIVES Chapter 3 Customers LEARNING OBJECTIVES 1. Restore data from Exercise 2-2. This backup was made on page 89. (Refer to the Read me box on page 55, Do I need to restore?) 2. Go to the Customers & Sales Navigation

More information

The Construction Manager. Reports Catalog

The Construction Manager. Reports Catalog The Construction Manager Reports Catalog The Construction Manager Reports Catalog Published November 2004 Geac Commercial Systems, a division of Geac Enterprise Solutions, Inc. makes no warranty of any

More information

Data Exchange Module. Vendor Invoice Import

Data Exchange Module. Vendor Invoice Import Data Exchange Module Vendor Invoice Import Information in this document is subject to change without notice and does not represent a commitment on the part of Dexter + Chaney. The software described in

More information

Accounting Master Update for Version 14.2

Accounting Master Update for Version 14.2 Accounting Master Update for Version 14.2 Date: October 2014 From: MACC s Product Development Team Re: Version 14.2 Release The following enhancements have been made to the Accounting Master software application.

More information

What s New in PBS v12.04 by Module

What s New in PBS v12.04 by Module What s New in PBS v12.04 by Module System-wide Features Check Reconciliation Order Entry Manufacturing Accounts Payable General Ledger Purchase Order Data Import Manager Accounts Receivable Inventory Control

More information

Overview Invoices to be entered through this program are invoices that do not have supporting purchase order or contract documents.

Overview Invoices to be entered through this program are invoices that do not have supporting purchase order or contract documents. Invoice Entry Invoice Entry Objective This document provides instructions on how to enter an invoice into Munis that is not associated with a purchase order or a contract (i.e. a direct payment). It is

More information

PROCEDURES AND PAPERFLOW

PROCEDURES AND PAPERFLOW PROCEDURES AND PAPERFLOW I. Purchasing A. Purchase Orders 3 1. Special Orders 3 2. Stock Order 3 3. Printing 3 4. Monitoring 4 5. Acknowledging 4 II. Inventory Movement 5 A. Inventory Receiving Worksheet

More information

ClubConnect Accounts Payable Understanding Invoice and Check Types for Easy Processing

ClubConnect Accounts Payable Understanding Invoice and Check Types for Easy Processing ClubConnect Accounts Payable Understanding Invoice and Check Types for Easy Processing Webinar Topics Invoices... 3 Special Invoice Situations... 3 Prepaid Invoices... 3 Reciprocal Club Invoices... 8 Invoices

More information

Activant Prelude. Reconciling Vendor Invoices and Paying Vendors

Activant Prelude. Reconciling Vendor Invoices and Paying Vendors Activant Prelude Reconciling Vendor Invoices and Paying Vendors This class is designed for Financial managers Accounts payable personnel Anyone who pays vendors or processes vendor claims Objectives Set

More information

Summit A/P Voucher Process

Summit A/P Voucher Process Summit A/P Voucher Process Copyright 2010 2 Contents Accounts Payable... 4 Accounts Payable Setup... 5 Account Reconcile Protection.... 5 Default Bank Account... 5 Default Voucher Method - Accrual Basis

More information

Payroll Table of Contents

Payroll Table of Contents Payroll Table of Contents I. Payroll, Getting Started...1 General Description... 1 Reports and Forms... 2 Terminal Inquiry Options... 3 Setting Up the Basic Data Files... 4 Setting Up the Payroll System

More information

DATATRON Features Order Entry (Invoicing)

DATATRON Features Order Entry (Invoicing) DATATRON Features Order Entry (Invoicing) Check the item(s) if you re not 100% sure of what it does, what it s for, or how to use it. [ ] 1 Are you using Expanded searches to get all possible matches of

More information

100: Accounts Receivable-

100: Accounts Receivable- 100: Accounts Receivable- Overview To Select the : OPTION 101: Apply Payments to AR Introduction To Apply a Payment to a Customer Account: Layout for Apply Payments to AR Selection screen: To Record a

More information

Evolution M Core Training Purchase and Subcontract Processing Issue 2

Evolution M Core Training Purchase and Subcontract Processing Issue 2 Evolution M Core Training Purchase and Subcontract Processing Issue 2 Contents Training............................................................................................ 1 Maintenance..........................................................................................

More information

CHAPTER 2: ADVANCED MATERIALS MANAGEMENT

CHAPTER 2: ADVANCED MATERIALS MANAGEMENT CHAPTER 2: ADVANCED MATERIALS MANAGEMENT Advanced Materials Management involves the purchasing, receipt and distribution of in-stock and non-stock items. It assumes that your initial inventory has already

More information

Accounts Payable. Page 1

Accounts Payable. Page 1 Accounts Payable Datamatic cannot accept any responsibility, financial or otherwise, for any consequences arising out of the use of this material. The information contained herein is subject to change.

More information

Accounts Payable Release 2015

Accounts Payable Release 2015 Accounts Payable Release 2015 Disclaimer This document is provided as-is. Information and views expressed in this document, including URL and other Internet Web site references, may change without notice.

More information

Financials Module: Accounts Payable

Financials Module: Accounts Payable The Priority Enterprise Management System Financials Module: Accounts Payable Contents Introduction... 2 Invoices from Vendors... 3 Receiving Credit from the Vendor... 5 Payments... 6 Withholding Tax (dual-currency

More information

BillQuick Peachtree Integration

BillQuick Peachtree Integration Time Billing and Business Management Software Built With Your Industry Knowledge BillQuickPeachtree Integration Integration Guide BQE Software, Inc. 2601 Airport Drive Suite 380 Torrance CA 90505 Support:

More information

Order Entry User Manual

Order Entry User Manual Order Entry User Manual Confidential Information This document contains proprietary and valuable, confidential trade secret information of APPX Software, Inc., Richmond, Virginia Notice of Authorship This

More information

MICROSOFT DYNAMICS GP RELEASES GP 2013, GP 2015, GP 2016, AND GP 2018

MICROSOFT DYNAMICS GP RELEASES GP 2013, GP 2015, GP 2016, AND GP 2018 MICROSOFT DYNAMICS GP RELEASES GP 2013, GP 2015, GP 2016, AND GP 2018 Table of Contents Page 2 Contents GENERAL TIPS AND REMINDERS... 1 Backups... 1 Timing... 1 History... 2 File maintenance (Optional)...

More information

CALENDAR & FISCAL YEAR END CLOSING PROCEDURES

CALENDAR & FISCAL YEAR END CLOSING PROCEDURES CALENDAR & FISCAL YEAR END CLOSING PROCEDURES MICROSOFT DYNAMICS GP RELEASES GP 2013, GP 2015 and GP 2016 Date: 11/30/17 Page 1 CONTENTS CALENDAR & FISCAL YEAR END CLOSING PROCEDURES... 1 General Tips

More information

CASH DISBURSEMENTS TABLE OF CONTENTS

CASH DISBURSEMENTS TABLE OF CONTENTS CASH DISBURSEMENTS TABLE OF CONTENTS L.A.W.S. Documentation Manual Cash Disbursements CASH DISBURSEMENTS 258 PROCESS DISBURSEMENTS 259 Process Disbursements Selection Screen 260 Distribution Line Items

More information

QuickBooks Premier 2018 Level 1

QuickBooks Premier 2018 Level 1 Courseware 1767 QuickBooks Premier 2018 Level 1 Accounting Series Course Description This course introduces basic accounting tasks using the Canadian version of QuickBooks Premier Accountant Edition 2018.

More information

WHITEPAPER. SimCrest, Inc. Cash Basis Accounting

WHITEPAPER. SimCrest, Inc. Cash Basis Accounting for SimCrest, Inc. Cash Basis Accounting (Made for Microsoft Dynamics NAV) Last update 8/17/10 for Cash Basis 2010 R2 SimCrest, Inc 700 Central Expressway S, Ste 310 Allen, TX 75013 Phone 214-644-4000

More information

PAYABLES YOU MUST PRESS {ENTER} AFTER EVERY FIELD THAT YOU ADD OR EDIT FOR THE SYSTEM TO ACCEPT THE INFORMATION.

PAYABLES YOU MUST PRESS {ENTER} AFTER EVERY FIELD THAT YOU ADD OR EDIT FOR THE SYSTEM TO ACCEPT THE INFORMATION. PAYABLES THE ACCOUNTS PAYABLE SYSTEM IS A SELF-CONTAINED COMPUTERIZED ACCOUNTS PAYABLE SYSTEM WHICH IS DESIGNED TO BE USED AS PART OF A FULLY INTEGRATED ACCOUNTING SYSTEM OR AS A STAND ALONE ACCOUNTS PAYABLE

More information

Accounts Payable Reference Manual Prophet 21 FASPAC 5.0

Accounts Payable Reference Manual Prophet 21 FASPAC 5.0 Accounts Payable Reference Manual Prophet 21 FASPAC 5.0 Table of Contents INTRODUCTION 8 Function Keys 9 Before You Begin 9 Vendor Terms Codes and Multiple Due Dates 9 GETTING STARTED 10 Payment Process

More information

Purchasing Control User Guide

Purchasing Control User Guide Purchasing Control User Guide Revision 5.0.5 777 Mariners Island blvd Suite 210 San Mateo, CA 94404 Phone: 1-877-392-2879 FAX: 1-650-345-5490 2010 Exact Software North America LLC. Purchasing Control User

More information

Manuals. Product Documentation. Payroll. Includes features to Version Xyntax Systems #2, 118 Railway Street West Cochrane, AB, T4C 2B5

Manuals. Product Documentation. Payroll. Includes features to Version Xyntax Systems #2, 118 Railway Street West Cochrane, AB, T4C 2B5 Manuals Product Documentation Copyright 2006 Xyntax Group Inc. All rights reserved. Includes features to Version 7.06.02 This manual, as well as the software described in it, is furnished under license

More information

Enhancements in Spectrum Last Updated: April 5, 2018

Enhancements in Spectrum Last Updated: April 5, 2018 Enhancements in Spectrum 14.24 Last Updated: April 5, 2018 Status: Thunderbirds are GO! AP BI BI BI BI CM JC JC JC MM PO PO PO PR PR PR PS ST ST ST Use Tax Report Supports Work Orders Deep Linking New

More information

Sage Release Notes. March 2018

Sage Release Notes. March 2018 Sage 100 018. Release Notes March 018 018 The Sage Group plc or its licensors. All rights reserved. Sage, Sage logos, and Sage product and service names mentioned herein are the trademarks of The Sage

More information

Disassembly of the CertiflexDimension software is also expressly prohibited.

Disassembly of the CertiflexDimension software is also expressly prohibited. All content included in CertiflexDimension programs, manuals and materials generated by the programs are the property of The Versatile Group Inc. (TVG) and are protected by United States and International

More information

WHAT S NEW IN PASTEL EVOLUTION VERSION 6.60

WHAT S NEW IN PASTEL EVOLUTION VERSION 6.60 WHAT S NEW IN PASTEL EVOLUTION VERSION 6.60 Softline Pastel s continuous investment in research and development ensures that you are kept up to date with the latest and most cutting-edge business management

More information

Reading Sample. Banking. Contents. Index. The Authors. First-hand knowledge.

Reading Sample. Banking. Contents. Index. The Authors.  First-hand knowledge. First-hand knowledge. Reading Sample In this sample chapter, learn how to conduct your routine banking transactions such as incoming payments, deposits, outgoing payments, bank statements, and reconciliations

More information

MICROSOFT DYNAMICS GP

MICROSOFT DYNAMICS GP Agnieszka Parent / Lisa Pallasch 11 June 2013 System SmartLists Financials Fixed Assets Purchasing Sales Inventory Canadian Payroll 2 System: Quick Links F1 Printable Manuals Right Click Functionality

More information

Enter Invoice. Invoice. No Holds. Approve Invoice. Pay Invoice. Reconcile Payments

Enter Invoice. Invoice. No Holds. Approve Invoice. Pay Invoice. Reconcile Payments Chapter 5 Payables Overview Oracle Payables is a high-productivity accounting solution that provides strong financial control, so you can prevent duplicate payments, pay for only the goods and services

More information

CYMA IV. Accounting for Windows. Accounts Receivable Training Guide. Training Guide Series

CYMA IV. Accounting for Windows. Accounts Receivable Training Guide. Training Guide Series CYMA IV Accounting for Windows Training Guide Series Accounts Receivable Training Guide December 2015 CYMA Systems, Inc. 2330 West University Drive, Suite 4 Tempe, AZ 85281 (800) 292-2962 Fax: (480) 303-2969

More information

Getting Started Tutorial

Getting Started Tutorial Getting Started Tutorial Welcome This tutorial will introduce you to the main functions of your MYOB accounting software. You can use this tutorial with the current versions of MYOB Accounting, MYOB Accounting

More information

TRAVERSE Enhancements. v 10.5

TRAVERSE Enhancements. v 10.5 TRAVERSE Enhancements This booklet gives you a first look at the enhancements and features of TRAVERSE 10.5 from Open Systems, Inc. Michael Bertini CEO Open Systems, Inc. Aged Trial Balance Inquiry Check

More information

Chapter 5: ACCOUNTS RECEIVABLE (AR)

Chapter 5: ACCOUNTS RECEIVABLE (AR) Chapter 5: ACCOUNTS RECEIVABLE (AR) AR Sales Invoice 5.1 ACCOUNTS RECEIVABLE (AR) There are 3 types of programs that can be keyed in Biztrak for Accounts Receivable (AR) module. There s AR Sales Invoice,

More information

QuickBooks Setup for Series2k

QuickBooks Setup for Series2k QuickBooks Setup for Series2k Version Build Version TBA Check out our web site: www.series2k.com And the update for this manual www.series2k.com/quickbookssetup.pdf 1 QuickBooks Setup for SERIES2K Table

More information

Advanced Accounting Software & Secure Internet Solutions. Visit us at Security Objects Definitions. Reference Manual

Advanced Accounting Software & Secure Internet Solutions. Visit us at   Security Objects Definitions. Reference Manual Advanced Accounting Software & Secure Internet Solutions Visit us at www.dpro.com Security Objects Definitions Reference Manual Version 7.3 Information in this document is subject to change without notice

More information

Opera II Accreditation Course. Invoicing / SOP. Pegasus Training & Consultancy Services File Name : OIISOP001

Opera II Accreditation Course. Invoicing / SOP. Pegasus Training & Consultancy Services File Name : OIISOP001 Invoicing / SOP Pegasus Training & Consultancy Services File Name : OIISOP001 Pegasus Training & Consultancy Services File Name : OIISOP001 Table of Contents Introduction... 1 Invoicing Module Menu...

More information

Updates and Program Enhancements For DBA Classic &

Updates and Program Enhancements For DBA Classic & The enhancements, fixes and updates described below are available to users of DBA Classic version 2002.4 or 2004.1. All the features described work in the DBA Classic environment and do not require Evo-ERP.

More information

IBackOffice 7.3 Release Notes IBackOffice Global

IBackOffice 7.3 Release Notes IBackOffice Global IBackOffice 7.3 Release Notes IBackOffice Global New Features 1 Change Company 2 Security Groups 2 Explorer Views 3 Zoom in Report Parameters Window 3 Accounts Payable 3 Accounts Receivable 5 General Ledger

More information

Sage 100 ERP 2015 What s New

Sage 100 ERP 2015 What s New Sage 100 ERP 2015 What s New Global Enhancements Migration Changes If you are converting data for a company using the Purchase Order module, a message appears asking if you want to retain purchase order

More information

ENTRY AND INVOICE MASTER ENTRY SCREENS: SEARCHING FOR INVOICES

ENTRY AND INVOICE MASTER ENTRY SCREENS: SEARCHING FOR INVOICES AR INVOICE ENTRY ENTRY AND INVOICE MASTER ENTRY SCREENS: SEARCHING FOR INVOICES Select the Invoice Entry screen from the AR menu to: Search for Accounts Receivable invoices. Enter invoice information,

More information

SAGE ACCPAC. Sage Accpac ERP. Return Material Authorization 5.5A. User Guide

SAGE ACCPAC. Sage Accpac ERP. Return Material Authorization 5.5A. User Guide SAGE ACCPAC Sage Accpac ERP Return Material Authorization 5.5A User Guide 2008 Sage Software, Inc. All rights reserved. Sage Software, Sage Software logos, and all Sage Accpac product and service names

More information

Sage MAS 90 and 200 Product Update 2 Delivers Added Value!

Sage MAS 90 and 200 Product Update 2 Delivers Added Value! Sage MAS 90 and 200 Product Update 2 Delivers Added Value! The second Sage MAS 90 and 200 4.4 Product Update 4.40.0.2 is available via a compact download from Sage Online. Delivering additional features

More information

tyuiopasdfghjklzxcvbnmqwertyuiopas

tyuiopasdfghjklzxcvbnmqwertyuiopas qwertyuiopasdfghjklzxcvbnmqwertyui opasdfghjklzxcvbnmqwertyuiopasdfgh jklzxcvbnmqwertyuiopasdfghjklzxcvb nmqwertyuiopasdfghjklzxcvbnmqwer QuickBooks Instructional Manual MiraCosta College tyuiopasdfghjklzxcvbnmqwertyuiopas

More information

2. Which of the following statements is true when configuring a group chart of accounts?

2. Which of the following statements is true when configuring a group chart of accounts? Time 120 minutes Chart of Accounts 1. A chart of accounts ( Multi ) a. can be allocated to multiple company code b. can be defined as the group chart of accounts c. only contains definitions for G/L accounts

More information

1. What lists can be imported from Excel spreadsheets, when setting up a QuickBooks Online company?

1. What lists can be imported from Excel spreadsheets, when setting up a QuickBooks Online company? QuickBooks Online Practice Test (with answers) 1. What lists can be imported from Excel spreadsheets, when setting up a QuickBooks Online company? A) Locations, Classes, Products and Services, and Vendors

More information

AP BATCH & INVOICE REVIEW OCTOBER 2015

AP BATCH & INVOICE REVIEW OCTOBER 2015 AP BATCH & INVOICE REVIEW OCTOBER 2015 AGENDA AP Batch Process Budget Inquiry & Report for p-cards Purchasing Review AP Invoice Entry Substitute Vendors Credits Discounts Templates PO & Invoice Travel

More information

Microsoft Dynamics SL

Microsoft Dynamics SL Microsoft Dynamics SL 2015 Year-End Close Procedures The information contained herein is the property of MIG & Co. and may not be copied, used or disclosed in whole or In part to any third party except

More information

Working with Invoices

Working with Invoices 1 Order Entry: Using CounterPoint Working with Invoices Overview Order Entry documents (O-orders, I-orders, and credit memos) are called invoices for the purpose of printing and posting the document. The

More information

PBS v12.04 contains many new enhancements and fixes. This document explains the benefits and features of the enhancements by module.

PBS v12.04 contains many new enhancements and fixes. This document explains the benefits and features of the enhancements by module. What s New in PBS v12.04 by Module System-wide Features Check Reconciliation Order Entry Manufacturing Accounts Payable General Ledger Purchase Order Data Import Manager Passport ACA Accounts Receivable

More information

RG Connect 2016 Microsoft Dynamics GP Tips and Tricks May 13, 2016

RG Connect 2016 Microsoft Dynamics GP Tips and Tricks May 13, 2016 RG Connect 2016 Microsoft Dynamics GP Tips and Tricks May 13, 2016 Prepared by Tim Tobias, Carol Livingston, Kayla Schilling, Steve Payne, Elizabeth Bender 600 SW 39 th Street, Suite 250 Renton, WA 98057

More information

PROPRIETARY RIGHTS NOTICE:

PROPRIETARY RIGHTS NOTICE: Copyright revised 3 /2018 by Samco Software Inc. PROPRIETARY RIGHTS NOTICE: All rights reserved. No part of this material may be reproduced or transmitted in any form or by any means, electronic, mechanical,

More information

Landed Cost Version 7.2

Landed Cost Version 7.2 Star System Solutions Pty Ltd Landed Cost Version 7.2 User Guide elanded Cost About This Guide iv Landed Cost Definition v Landed Cost Data Flow vi Chapter 1: Landed Cost Utilities 1 Configuration 2 Task

More information

W508 Manufacturer Rep Order Processing

W508 Manufacturer Rep Order Processing W508 Manufacturer Rep Order Processing Pre-requisites: None Prophet 21 version 11.0 includes new functionality that allows distributors to efficiently process orders as manufacturer rep sales. The feature

More information

Finance Month End. Deltek Maconomy Deltek, Inc. Deltek proprietary, all rights reserved.

Finance Month End. Deltek Maconomy Deltek, Inc. Deltek proprietary, all rights reserved. Finance Month End Deltek Maconomy Copyright Information While Deltek has attempted to make the information in this document accurate and complete, some typographical or technical errors may exist. Deltek,

More information

QCD Financial Suite. Information Sheet Version 2.0

QCD Financial Suite. Information Sheet Version 2.0 f QCD Financial Suite Information Sheet Version 2.0 1. OVERVIEW 1.1 General System Features This lists the general features of the system regardless of what module is accessed. Architecture - Client/Server

More information

How to Configure the Initial Settings in SAP Business One

How to Configure the Initial Settings in SAP Business One SAP Business One How-To Guide PUBLIC How to Configure the Initial Settings in SAP Business One Applicable Release: SAP Business One 8.8 European Localizations English July 2009 Table of Contents Introduction...

More information

ACCOUNTS RECEIVABLE FD608ARAW6P. AddonSoftware

ACCOUNTS RECEIVABLE FD608ARAW6P. AddonSoftware ACCOUNTS RECEIVABLE FD608ARAW6P AddonSoftware AddonSoftware provides this manual as is, without warranty of any kind, either expressed or implied, including, but not limited to, the particular purpose.

More information

Welcome to the procurement process topic.

Welcome to the procurement process topic. Welcome to the procurement process topic. 1 In this session, we will look at an overview of the procurement process. At the end, you will be able list the steps in the procurement process and purchase

More information

Bridge. Billing Guide. Version

Bridge. Billing Guide. Version Bridge Billing Guide Version 2.5.112 Table of Contents Page i Table of Contents Table Of Contents I Introduction 2 Managing Bill To Parties 3 Creating a New Bill to Party 3 Viewing and Navigating Bill

More information

Forrest Terrace, Abbotsford, BC V2S 1G7 Tel: Fax: Website:

Forrest Terrace, Abbotsford, BC V2S 1G7 Tel: Fax: Website: 203-34334 Forrest Terrace, Abbotsford, BC V2S 1G7 Tel: 604-504-7936 Fax: 604-504-7976 Website: www.kcsi.ca Email: sales@kcsi.ca SIMMS Inventory Management System General Ledger Manual Table of Contents

More information

Finance Module Best Practices Dynamics GP. Speaker Name: McDowell, VanJura, Eichner GPUG

Finance Module Best Practices Dynamics GP. Speaker Name: McDowell, VanJura, Eichner GPUG Finance Module Best Practices Dynamics GP Speaker Name: McDowell, VanJura, Eichner GPUG Mike McDowell Experience COO, Mekorma Software CFO for 15 years 12 years working with Dynamics GP Believes in: Working

More information

MYOB Accounting Plus v16 MYOB Accounting v16

MYOB Accounting Plus v16 MYOB Accounting v16 MYOB Accounting Plus v16 MYOB Accounting v16 Release Notes MYOB Licence Agreement IMPORTANT READ THIS CAREFULLY BEFORE PROCEEDING. This Product (consisting of the user documentation and the installation

More information

Basic Accounting Option

Basic Accounting Option Basic Accounting Option This document provides an overview of the Basic Accounting Option, explains how to set it up, and provides directions for using Accounts Payable, General Ledger, and Check Reconciliation.

More information

Scrap Dragon to QuickBooks Interface Revised 10/2/14

Scrap Dragon to QuickBooks Interface Revised 10/2/14 Scrap Dragon to QuickBooks Interface Revised 10/2/14 General Scrap Dragon is designed so that accounting data can be passed electronically to QuickBooks. This is a one-way transfer and no information from

More information

Escapia VRS. Month End Close and Audit Procedures

Escapia VRS. Month End Close and Audit Procedures Escapia VRS Month End Close and Audit Procedures Month end close and audit procedures: 1. Review Bank Deposits program ACCOUNTING> BANKING> RECONCILE BANK ACCOUNT Make sure there are no un-deposited checks

More information

Booklet 3. Guidance Notes. Sales Ledger

Booklet 3. Guidance Notes. Sales Ledger Booklet 3 Guidance Notes Sales Ledger (Revised Aug 2018) 1 Table of Contents 1.0 Sales - Processing...3 1.1 Sales Invoices...3 1.2 Setting up Contacts Customers...6 1.3 Sales Receipts...8 1.4 Sales Credit

More information

A/R Billing Invoices

A/R Billing Invoices Overview A/R Billing Invoices DPHS Version 7.0 Accounts Receivable billing invoices are entered and posted in batches. Navigate to Accounts Receivable>Billing Page 1 of 10 B Data Entry The Data Entry menu

More information

Chapter 3 Inventory. Objectives. QuickBooks Tools for Tracking Inventory

Chapter 3 Inventory. Objectives. QuickBooks Tools for Tracking Inventory Chapter 3 Inventory Objectives After completing this chapter, you should be able to: Activate the Inventory function (page 47). Set up Inventory Items in the Item list (page 48). Use QuickBooks to calculate

More information

ArchiOffice QuickBooks Integration

ArchiOffice QuickBooks Integration Office and Project Management Solution ArchiOffice QuickBooks Integration Advanced Integration Guide BQE Software, Inc. 2601 Airport Drive Suite 380 Torrance CA 90505 Support: (310) 602-4030 Sales: (888)

More information

Pentagon 2000 Software. Month End Closing Procedures. Version 8.0

Pentagon 2000 Software. Month End Closing Procedures. Version 8.0 PENTAGON2000 Software, Inc. QUICK REFERENCE GUIDE Pentagon 2000 Software Month End Closing Procedures Version 8.0 Pentagon 2000 Software, Inc. 15 West 34 th Street 5th Floor New York, NY 10001 Important:

More information

ACCPAC FUNDAMENTALS. 1. It offers powerful analysis and reporting tools for accounting, finance, and auditing endusers

ACCPAC FUNDAMENTALS. 1. It offers powerful analysis and reporting tools for accounting, finance, and auditing endusers ACCPAC FUNDAMENTALS A. FEATURES OF ACCPAC SYSTEM ACCPAC System The ACCPAC for Windows Series is a Windows accounting software, which provides a comprehensive business management solution for corporate

More information

Product Comparison Document

Product Comparison Document Product Comparison Document te: This document is subject to change. Features Operating Systems / Platforms Microsoft TM Widnows 7/8/10 Professional Edition, Service Pack 1 or later Database Microsoft SQL

More information

Release Notes

Release Notes + Release Notes 18.01.01 Release Date: 3/2/2018 Product Version: 18.01.01 Previous Version: 17.12.01 New Features and Enhancements PBI 2138 Allow User to set a company default for Adjustment Reason Code

More information