v.5 General Ledger: Best Practices (Course #V221)

Size: px
Start display at page:

Download "v.5 General Ledger: Best Practices (Course #V221)"

Transcription

1 v.5 General Ledger: Best Practices (Course #V221) Presented by: Mark Fisher Shelby Consultant 2017 Shelby Systems, Inc. Other brand and product names are trademarks or registered trademarks of the respective holders.

2 Objective This class covers information that helps you uncover hidden tips & tricks to maximize the General Ledger in Shelby v.5. This session presents the following topics: How to set up Company Information What are Account Rights? How to Export/Import Budgets How to use Source Documents How to work with Journal Entries How to use Inquiry Options Why, When, and How you can change the numbering for Accounts, Departments, Funds, or even Companies Who closes the fiscal year? Monthly financial reports

3 Company Information Make sure your company information is set up correctly. 1. Default Year Select from the available years established for the company. 2. Default Period Select from the available periods, which are established for a given year for the company. 3. Suppress Zero Balances If selected, this prevents all accounts with a zero balance from printing on all financial reports. 4. Allow Sub Ledger Journal Changes If selected, you are able to edit journal entries in General Ledger that come from other Shelby financial modules. When this option is activated, your General Ledger audit trail is not secured. 5. Create Bank Reconciliation Entries for Manual Journals If selected, when you create a manual journal entry that includes a cash account, the system creates an item in Bank Reconciliation. 6. Show Bank Account Verification Prompt at Startup If selected, a prompt displays stating from which bank account you are processing transactions. This provides a double check to verify that you are linked to the correct bank account. 7. Require Journal Date and Period Match If selected, the date and period must match when you finalize sub ledger transactions. Manual journals must have matching dates and periods, or they cannot be saved. 3

4 Account Rights More than likely, you are bombarded with requests from staff for individual reports. This requires you to stop what you are doing to produce the desired report for the individual making the request. Although you can grant report only rights to the individual in the General Ledger through User Security Setup, you don t want to grant rights to every account in your General Ledger. As a default, each user having security rights to General Ledger has access to any account information. Account rights allow you to give access to different departments/accounts in the General Ledger based on User Login Names and access rights. From the Account Rights screen, double click the individual s name and enter the Company, Fund(s), Department(s), and Account# range to which that person needs access. As you can see in the example, you can select several areas of your chart of accounts where the individual has responsibility. The bottom portion of the screen describes to which area the individual now has access. With the appropriate User Account rights, individuals can now run reports for themselves ensuring they only have access to the accounts you have designated. 4

5 Export/Import Budgets This procedure allows you to Export budgets from Shelby v.5 to Excel or another spreadsheet application, make any adjustments necessary, and save the file in CSV (Comma Separated Values) format. Then you use the Import option to update the budgets in Shelby v.5. There are basic steps necessary to enter your new fiscal year budget information. First, create the new GL year and Chart of Accounts. Run the export utility with the New Year set as the default on the home base screen. Create the monthly budgets in Excel as desired. The exported file format should not be altered. Do not delete or hide columns or rows. You must enter monthly values, which are automatically added to the Annual Budget column. You must save the file in Comma Separated Values format (.csv) before importing the edited budget information. With the new year still on the GL home base screen, import budgets. The import tool automatically opens a browser window to your data file path location or for you to browse to any file location. After you have imported your budget, make any changes as needed. 5

6 Source Documents Every sub ledger module that interfaces with the General Ledger generates a journal entry with the appropriate debits and credits and places it in the Journal Entry screen for posting. Along with the journal entry, the system attaches a copy of the final report from the sub ledger module called the source document. Use the Acquire/View button to scan a document associated with an entry and import (optional). Click the Drill Down button to display a list of detail lines associated with this entry (after the posting is run). 6

7 The Source Document utility enables you to locate the sub ledger journal entry easily by Type, Period, Start Date, End Date, and User. From the Utility menu item: Click Source Documents. Filter by any combination of items. Double click the journal entry. Review or print source document. 7

8 Work with Journal Entries Journal Entries represent the detail transactions being posted to the General Ledger. These may be manual journal entries, recurring journal entries that are transferred as needed, or they may be sent to the General Ledger via a sub ledger interface such as Accounts Payable, Check Express, Payroll, Contributions, and so forth. The Journal Entry screen is the starting point for any journal work that may need to be done. From here you enter, edit, and update any journal entries. Also, access the recurring journals maintenance screen from this point, as well as transfer the recurring journals. Reverse/Copy a Journal Entry There may be times when you need to reverse a set of journal entries that have already been finalized. Other times you may need to copy journals to be used again without having to retype them. When you select Reverse, ALL entries for the are placed in the Journal Entry screen opposite from the way they were originally entered. The entries could then be edited and finalized. When you select Copy, ALL entries for the journal selected are placed in the Journal Entry screen as they were originally entered. This may be useful if you find that entries are finalized to the wrong period. In that case, you could use Reverse to negate the entries in the incorrect period, and then use the Copy feature and change the period before finalizing. Using the Reverse/Copy Journal Entry utility not only saves you time but removes the possibility of coding mistakes. Remember WATCH TO WHAT PERIODS YOU POST! 8

9 The following steps correct your mistakes quickly and accurately: From the Journal Entry screen click Utility > Reverse/Copy Journal Entry. 9

10 Locate the journal entry by using the filters at the top of the screen. (In your example AP0029 was posted to November and should have been posted to December.) Click the journal entry and then click the Reverse button at the bottom of the screen. 10

11 Post the journal entry to the original period and date to REVERSE the entry. Click Reverse/Copy Journal Entry again, select the same journal entry, and click the Copy button. 11

12 Post the journal entry to the correct period with the correct date. Run the Edit report and Save the journal entries to the General Ledger. 12

13 Recurring Journal Entries Many times there are journal entries that need to be made each and every month. These may consist of payroll entries from an outside company, amortized expenses, mission distributions based on monthly giving, or a host of other scenarios. With the Recurring Journal Entry utility, create the journal entry one time and simply transfer the entry for processing without having to enter manually the journal entry each and every time the transaction occurs. From the Journal Entry screen, click Utility > Recurring Journals Information. Right click and select New to open the Recurring Journal entry screen. 13

14 Enter the Journal Type (RE), Journal Description, Accounts, Debits, and Credits and then save the entry. Your saved recurring journal entry is now added to the list of recurring journal entries. 14

15 From the Journal Entry screen, click Utility > Transfer Recurring Journals. Select the Period to post to, the journal Date, and the journal Type to transfer. Leaving the journal type field blank transfers all journal types. Next this window displays. The recurring journal entry or entries are now ready for processing. 15

16 Inquiry Options The Inquiries area of General Ledger is a fantastic tool for accessing information and displaying different aspects of that information without the need for running several reports. In addition, the Inquiries area allows access to areas of information that normally would require the user to run reports/inquiries from the original sub ledger modules. The Inquiry Criteria screen has two distinct sections for filtering the results that are displayed. The top portion (1) allows you to define the Fund, Department, Account # Range, and specific accounts by using the Include/Exclude button. The bottom portion (2) allows you to select All Periods or a specific Period, a Start Date/End Date range based on Journal Dates, specific Journal Type, Journal #, Project, and Dollar amount range. Use any combination of fields from the top section and bottom section based upon what information you need. 16

17 Summary Tab (1) Across the top of the Summary tab you see four check boxes that display the selected information. By selecting all check boxes you see this result: Print this report by selecting Reports > Inquiry List. 17

18 Detail Tab (2) The Detail tab shows each transaction for the given account number within the period specified. Narrow your search for certain transactions by using the filters for journal type, reference #, and/or project. Double click any detail line to see all the entries that made up the complete journal. Use the Acquire/View button to scan a document associated with an entry and import (optional). Click the Drill Down button to display the detail lines associated with this entry. This button is only active for journal entries coming from other Shelby financial modules. Once the Sub Ledger Drill Down screen displays, click the drop down list under the name column to see detail lines. Click the View Source button to display the source file associated with this entry. Print this report by selecting Reports > Inquiry List. 18

19 Drill Down Example Click the Drill Down button to display the information in table format. Right clicking displays a menu of options for printing the information or exporting. When you click on the drop down arrow next to the name, the following screen displays the detail information for the specific entry that selects. 19

20 Create a Graph Use the Graph icon at the top of the screen to create a graph of the displayed information in Excel. Excel creates a graph of the selected information automatically. Change graph types and choose to display or not display the data labels. 20

21 Work with Shelby Tools There are other utilities for the General Ledger that are used less frequently but address some key areas. From your Shelby Dashboard click the General tab and then click the Utilities module. From the Utilities Home Base screen select the Shelby Tools option. 21

22 From the ShelbyTOOLS screen click the Choose a Module drop down and select General Ledger. Under the Utilities List there are several utilities from which to choose. Notice the description of the utility to the right of the screen. Before running any utility make sure you make a backup of your data. I would recommend NOT relying on the last backup. Make a new backup before proceeding in case something happens on the server while running the utility. You are going to make changes to your existing Chart of Accounts by changing the account number of an existing account (this is how to restructure your existing Chart of Accounts). Click the Change Company #, Fund #, Department #, or Account # utility and then click the Run button at the bottom of the screen. 22

23 From the Change Account Structure screen select the Scope of Change? that you wish to use. (There is even a shortcut for changing an Account # over Multiple Funds/Departments.) For this example you select the Account # radio button. Select the Fund, Department, and Account # to change from the drop down lists. Enter the Change to Department # if moving to another department and the Change to Account # (new account #). Click the OK button at the bottom of the screen to proceed with the change. The following screen asks you to confirm that you want to proceed with the change above. Click the Yes button to proceed. 23

24 The next screen is VERY IMPORTANT, repeat, VERY IMPORTANT. Read the question carefully. The utility processes the change in one of two ways: o Click the YES button to change the account # in ALL previous fiscal years. This is a must if you need to maintain prior year comparison reports. o Click the NO button to change the account # ONLY in the CURRENT fiscal year. If the account exists only in the current fiscal year, there is no need to change it in previous years. o Click the CANCEL button to abort the change. The following screen displays the change that was made and asks if you are finished. If you have other account numbers to change, click the NO button. When you make your final change, click the YES button. 24

25 The program displays a report reflecting all changes that are made to your Chart of Accounts, one account at a time. Print or Save the report for future reference (SAVE FOR THE AUDITOR). 25

26 General Ledger Year End Closing It is important to close each company in your General Ledger at the end of each fiscal year. Keep in mind each company may operate on a different fiscal year and should be closed accordingly. An opening balance is calculated for balance sheet accounts and entered for the next year. Income and expense accounts are closed to their respective closing account numbers. Since the system supports having multiple years, adjustments can be made to a prior year at any time after closing, and then the year end procedure is run to update the opening balances for the current year. ALWAYS remember to make a DATA BACKUP before you start your Year End Closing! From the Closing Procedures Home Base screen, select the company to close and then select the General Ledger Fiscal Year Closing option. 26

27 Read the message carefully and select the Fiscal Year to Close. You are asked whether you want to add income/expense accounts if there is an account in the current year that is not set up in the New Year. You get the same prompt for balance sheet accounts with no opening balance. If an Income or Expense account attempts to close to an invalid or nonexistent account number, you are notified on the screen, and then an exception report is generated. A listing of accounts trying to close to an invalid account is produced, the closing procedure ends, and you are not allowed to continue until corrections are made. You are asked if you want to mark this year as being closed so that no other transactions can be posted. (If you need to make changes later, remove this flag from the Company/Year Information screen.) A closing report displays, allowing you to review before printing. 27

28 Financial Reports Some of the most common financial reports include the Detail Ledger report, Balance Sheet, Budgeted Financial Statement, and the Financial Spreadsheet. Detail Ledger Report This report prints a list of all detail transactions for the accounting period specified or by a date range. You may want to print this report each month to have all detail transactions on file. Print the detail ledger for a certain account number range within a certain accounting period or date range. To print a year to date report, specify the first period and the last period of your accounting year. 28

29 Balance Sheet The Balance Sheet is run for a specific period but has several report layouts, including Current year only, Current and prior year, Current and prior month, Current and beginning of year, and many others. Select the report layout for your reporting needs. Each option box allows you to include additional information or affect how the information displays. 29

30 Budgeted Financial Statement The Budgeted Financial Statement is probably used more frequently. It is by far the most versatile report of the financial reports with virtually unlimited format possibilities. This report allows you to include budget and actual figures, variances, period figures, year to date figures, and many other options for a specific period or quarter. The report screen is divided into sections (tabs). The Parameters tab allows you to select the Fund(s), Department(s), Account(s), or Account Range, Period or Quarter selection, and an Excel Interface. The Preferences tab allows you to select the Report Format to run. There are several Formats from which to select in the drop down list. Each Format chosen displays the columns of information that are included on the report below the name of the Format Field. You also have the option to create a new Report Format. 30

31 Create formats that include specific columns of information, rename the columns using non accounting terminology, and create your own formulas. Move columns up or down the list by clicking the Move Up or Move Down buttons while the column is selected. Notice that there is a Pipe Symbol ( ) between each word in the description. It is used to force a hard return between the words so that the name of the column is stacked one word on top of another instead of having one long heading. The Pipe Symbol is located above the Enter key on your keyboard and is entered by holding down the Shift key while typing the \ key. 31

32 Financial Spreadsheet The Financial Spreadsheet allows you to produce a report using Actual Figures, Budget Figures, or Revised Budget Figures. Using the Actual Figures option allows you to include accounts from the Balance Sheet as well as the Income and Expense section. Choosing one of the Budget Figure options disables the Balance Sheet option. The Include/Exclude button at the top left of the screen allows you to select which Fund(s) and Department(s) are to be included. Select the Fiscal Year for your report and the Ending Period for the report. The Ending Period identifies not only the last period on the report, but it also includes the previous eleven periods. If it is your intention to include only the current year s periods, make sure the ending period is set to the last period of your fiscal year or Audit if it displays in your list. Select the Use actuals for closed periods? check box to replace budget columns with actual dollars if the month is marked as closed. This is only available for the Budget and Revised Budget options. With all reports, the output is displayed on the Print Preview screen. Print or Save the report as a PDF Document, Comma Delimited File (CSV), Rich Text (RTF), or HTML file by clicking File > Save As. 32

33 Q&A Class Discussion 33

34 Mark Fisher Shelby Consultant Mark has been a Shelby Independent Trainer since 1998 and currently serves Shelby customers as a Shelby Consultant training in Shelby v.5, Arena, and ShelbyNext. He was previously the Business Administrator at Shandon Baptist Church in Columbia, SC where he gained valuable experience with Shelby software programs. Mark s unique blend of skills and experience allows him to tell not only how the software works, but also helps integrate the software into practical accounting solutions and helps improve customers processes.

v.5 Accounts Payable: Best Practices

v.5 Accounts Payable: Best Practices v.5 Accounts Payable: Best Practices (Course #V210) Presented by: Dave Heston Shelby Consultant 2017 Shelby Systems, Inc. Other brand and product names are trademarks or registered trademarks of the respective

More information

ShelbyNext Financials: Accounts Payable Best Practices (Course #N210)

ShelbyNext Financials: Accounts Payable Best Practices (Course #N210) ShelbyNext Financials: Accounts Payable Best Practices (Course #N210) Presented by: Carmen Dea, Shelby Consultant 2017 Shelby Systems, Inc. Other brand and product names are trademarks or registered trademarks

More information

General Ledger Updated December 2017

General Ledger Updated December 2017 Updated December 2017 Contents About General Ledger...4 Navigating General Ledger...4 Setting Up General Ledger for First-Time Use...4 Setting Up G/L Parameters...5 Setting the G/L Parameters...6 Setting

More information

Tabs3 General Ledger Guide

Tabs3 General Ledger Guide Tabs3 General Ledger Guide Tabs3 General Ledger Guide Copyright 2013-2015 Software Technology, Inc. 1621 Cushman Drive Lincoln, NE 68512 (402) 423-1440 Tabs3.com Tabs3, PracticeMaster, and the "pinwheel"

More information

An Integrated Solution for Nonprofits

An Integrated Solution for Nonprofits An Integrated Solution for Nonprofits 072104 2004 Blackbaud, Inc. This publication, or any part thereof, may not be reproduced or transmitted in any form or by any means, electronic, or mechanical, including

More information

Tabs3, PracticeMaster, and the pinwheel symbol ( trademarks of Software Technology, Inc. Portions copyright Microsoft Corporation

Tabs3, PracticeMaster, and the pinwheel symbol ( trademarks of Software Technology, Inc. Portions copyright Microsoft Corporation Tabs3 General Ledger Software Reseller/User Tutorial Version 16.1 for November 2011 Sample Data Copyright 1983-2013 Software Technology, Inc. 1621 Cushman Drive Lincoln, NE 68512 (402) 423-1440 http://www.tabs3.com

More information

MultiSite Suite: General Ledger

MultiSite Suite: General Ledger MultiSite Suite: General Ledger User s Manual version 2.2.97 Copyright & Trademarks Copyright Notice and Trademarks 2003 by Brent Lawrence, LLC. All rights reserved. Reprinted and edited by MultiSite Systems,

More information

INFORMATION ABOUT DOWNLOADS USING INTERNET BROWSERS

INFORMATION ABOUT DOWNLOADS USING INTERNET BROWSERS shelby Arena Quick Tips Exporting Contribution Batch to General Ledger OVERVIEW OF PROCESS After you have entered a batch in Arena Contributions, you will need to export the financial information out to

More information

An Integrated Solution for Nonprofits

An Integrated Solution for Nonprofits An Integrated Solution for Nonprofits 100411 2011 Blackbaud, Inc. This publication, or any part thereof, may not be reproduced or transmitted in any form or by any means, electronic, or mechanical, including

More information

The following are modifications made to the Shelby v.5 programs between versions and sp1.

The following are modifications made to the Shelby v.5 programs between versions and sp1. Release Notes Updated: 6/17/2013 2013 Shelby Systems, Inc. All Rights Reserved Other brand and product names are trademarks or registered trademarks of the respective holders. v.5.13.1000 sp1 Release Notes

More information

Tabs3 General Ledger Guide

Tabs3 General Ledger Guide Tabs3 Tabs3 Copyright 2013-2018 Software Technology, LLC 1621 Cushman Drive Lincoln, NE 68512 (402) 423-1440 Tabs3.com Tabs3, PracticeMaster, and the pinwheel symbol ( ) are registered trademarks of Software

More information

ShelbyNext Financials (Pre-ISC Hands-On)

ShelbyNext Financials (Pre-ISC Hands-On) ShelbyNext Financials (Pre-ISC Hands-On) [Course #F101] Presented by: Carmen Dea Shelby Consultant 2018 Shelby Systems, Inc. Other brand and product names are trademarks or registered trademarks of the

More information

LESSON 4 Opening Balances

LESSON 4 Opening Balances LESSON 4 Learning Objectives In this lesson you will: 1. set up current year opening balances 2. create a new year 3. check data integrity 4. print a balance sheet 5. print a trial balance Entering Prior

More information

MICROSOFT DYNAMICS GP GENERAL LEDGER YEAR-END CLOSING PROCEDURES

MICROSOFT DYNAMICS GP GENERAL LEDGER YEAR-END CLOSING PROCEDURES GENERAL LEDGER YEAR-END CLOSING PROCEDURES Before you perform year-end closing procedures, you will need to: complete the posting of all entries and adjusting entries to reflect the transactions for the

More information

Accounting Table of Contents

Accounting Table of Contents Accounting Table of Contents Accounting Table of Contents 1 About Church Windows Accounting 4 Chart of Accounts Setup 6 Adding and Removing Accounts 7 Managing the Chart of Accounts 9 Detail tab 9 Balance

More information

Importing a Journal Entry

Importing a Journal Entry Importing a Journal Entry WebSmart by JR3 has enhanced the journal entry process. What s New? History tab At a glance, this new feature logs a date/time stamp, the action performed and the user responsible

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

Sage One Accountant Edition. User Guide. Professional user guide for Sage One and Sage One Accountant Edition. Banking. Invoicing. Expenses.

Sage One Accountant Edition. User Guide. Professional user guide for Sage One and Sage One Accountant Edition. Banking. Invoicing. Expenses. Banking Invoicing Professional user guide for and Canadian Table of contents 2 2 5 Banking 8 Invoicing 15 21 22 24 34 35 36 37 39 Overview 39 clients 39 Accessing client books 46 Dashboard overview 48

More information

SMU Financials Created on April 29, 2011

SMU Financials Created on April 29, 2011 Created on April 29, 2011 Notice 2011, Southern Methodist University. All Rights Reserved. Published 2011. The information contained in this document is proprietary to Southern Methodist University. This

More information

ShelbyNext Financials: General Ledger Special Reports (Hands On)

ShelbyNext Financials: General Ledger Special Reports (Hands On) ShelbyNext Financials: General Ledger Special Reports (Hands On) [Course F133] Presented by: Bill Ballou Shelby Training Manager 2018 Shelby Systems, Inc. Other brand and product names are trademarks or

More information

Munis Account Central

Munis Account Central Munis Account Central Procedural Documentation For more information, visit www.tylertech.com. Accounts The Accounts option provides access to the Account Central program. This program offers an overview

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 12/15/2008 Section L: General Ledger Processing [Topic 2: Journal Voucher Processing, V2.1] Revision History Date Version Description

More information

User Documentation for School Activity Funds Accounting

User Documentation for School Activity Funds Accounting User Documentation for School Activity Funds Accounting By: Applied Business Services, Inc. 800 S. Frederick Avenue, Suite 101 Gaithersburg, MD 20877 1-800-451-7447 ext. 130 www.appliedbusinessservices.com

More information

Accounts Payable MODULE USER S GUIDE

Accounts Payable MODULE USER S GUIDE Accounts Payable MODULE USER S GUIDE INTEGRATED SOFTWARE SERIES Accounts Payable MODULE USER S GUIDE Version 3.1 Copyright 2005 2009, Interactive Financial Solutions, Inc. All Rights Reserved. Integrated

More information

What's New in General Ledger Munis - Financials: General Ledger

What's New in General Ledger Munis - Financials: General Ledger [MU-FN-4-F] [MU-FN-10-E] What's New in General Ledger Munis - Financials: General Ledger CLASS DESCRIPTION This session will highlight some of the new functionality available in the version 11.2 of the

More information

NOTE: You may see an Adjusting Period 998. It is not used in Local Council Systems. Fiscal Software User s Guide, BSA

NOTE: You may see an Adjusting Period 998. It is not used in Local Council Systems. Fiscal Software User s Guide, BSA Section 5 General Ledger This Section Includes: 5.1 Accounting Periods 5.2 Ledgers 5.3 Open and Closed Periods 5.3.1 Processing a Period Close or Opening a Period 5.4 Creating Journals 5.4.1 General Journals

More information

General Ledger Table of Contents

General Ledger Table of Contents General Ledger Table of Contents Return to Cover page 1 Getting Started... 4 2 The Maintenance Menu Column... 6 2.1 Creating accounts...6 2.2 Creating budgets...10 2.3 Formatting financial statements...11

More information

WinGL. General Ledger Quick Guide

WinGL. General Ledger Quick Guide WinGL General Ledger Quick Guide Interface A/P for current month Interface P/R for current month Interface WinTAR for current month Interface WinHAP for current month WinGL Monthly Processing Checklist

More information

COPYRIGHT & TRADEMARKS

COPYRIGHT & TRADEMARKS COPYRIGHT & TRADEMARKS Copyright 1998, 2009, Oracle and/or its affiliates. All rights reserved. Oracle is a registered trademark of Oracle Corporation and/or its affiliates. Other names may be trademarks

More information

MaineStreet Financials 8.4

MaineStreet Financials 8.4 MaineStreet Financials 8.4 General Ledger Excel Journal Entry 1 Overview A Journal Entry is used to update the General Ledger for many types of transactions, including cash receipts, transfers of revenue

More information

AFN-ProjectsandGrantsGuide

AFN-ProjectsandGrantsGuide 011602 2002 Blackbaud, Inc. This publication, or any part thereof, may not be reproduced or transmitted in any form or by any means, electronic, or mechanical, including photocopying, recording, storage

More information

Chapter 10. Administration

Chapter 10. Administration Chapter 10 Administration This Page Left Blank Intentionally CTAS User Manual 10-1 Administration: Introduction The Admin section is where you enter your local government s required and optional system

More information

NorthStar Club Management System

NorthStar Club Management System NorthStar Club Management System The Version 3.2.0 GL- 03252008 March 25, 2008 CONTENTS OVERVIEW OF THE GL (GENERAL LEDGER) MODULE... 5 ACCESSING THE GL MODULE... 6 GL INTRODUCTION:... 8 Inquiry... 8 Admin...

More information

OASIS Nominal Ledger

OASIS Nominal Ledger BEAVER SOFTWARE SYSTEMS LTD Open Accounting Software for Independent Schools School Management Software OASIS Nominal Ledger Last Revision: August 2011 Beaver Software Systems Ltd. 32 Glencairn Drive,

More information

Financial Report Guide

Financial Report Guide Financial Report Guide 2008 Washington University All rights reserved. For RAPS Support, send an e-mail message to RAPS@wustl.edu, or call 935-3890. Last Modified: 09/16/08 This page is intentionally left

More information

Sage Singapore Tax Reports User's Guide. August 2018

Sage Singapore Tax Reports User's Guide. August 2018 Sage 300 2019 Singapore Tax Reports User's Guide August 2018 This is a publication of Sage Software, Inc. 2018 The Sage Group plc or its licensors. All rights reserved. Sage, Sage logos, and Sage product

More information

DynacViews. User Guide. Version 2.0 May 1, 2009

DynacViews. User Guide. Version 2.0 May 1, 2009 DynacViews User Guide Version 2.0 May 1, 2009 Copyright 2003 by Dynac, Inc. All rights reserved. No part of this publication may be reproduced or used in any form without the express written permission

More information

Enhancements Included in the Wisdom Accounting Suite Software Version

Enhancements Included in the Wisdom Accounting Suite Software Version Enhancements Included in the Wisdom Accounting Suite Software Version 12.3.1 This document lists the enhancements and program corrections in this new release of the accounting software. Listed below are

More information

New Finance Officer & Staff Training

New Finance Officer & Staff Training New Finance Officer & Staff Training Overview MUNIS includes many programs and tools to allow for the management of the District financials. As newer finance officers and staff, you are charged with understanding,

More information

www.insightsoftware.com for JD Edwards World and EnterpriseOne Version: 2.1 Last Updated: August 31, 2011 Contents 1. Introduction... 4 Welcome... 4 Using this Guide... 4 2. The Console Interface... 5

More information

Financial Reporting Using Microsoft Excel. Presented By: Jim Lee

Financial Reporting Using Microsoft Excel. Presented By: Jim Lee Financial Reporting Using Microsoft Excel Presented By: Jim Lee Table of Contents Financial Reporting Overview... 4 Reporting Periods... 4 Microsoft Excel... 4 SedonaOffice General Ledger Structure...

More information

CYMA IV. Accounting for Windows. General Ledger Training Guide. Training Guide Series

CYMA IV. Accounting for Windows. General Ledger Training Guide. Training Guide Series CYMA IV Accounting for Windows Training Guide Series General Ledger 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

Sage General Ledger User's Guide. May 2017

Sage General Ledger User's Guide. May 2017 Sage 300 2018 General Ledger 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

Bank Reconciliation First Time Setup

Bank Reconciliation First Time Setup Overview Bank Reconciliation First Time Setup First Time Setup is necessary to prepare an account for the DPHS Bank Reconciliation process. Important: For new installations, be sure all General Ledger

More information

Blackbaud FundWare idata Installation and Technical Guide

Blackbaud FundWare idata Installation and Technical Guide Blackbaud FundWare idata Installation and Technical Guide VERSION 7.60, SEPTEMBER 2009 Blackbaud FundWare idata Installation and Technical Guide TECHNICAL GUIDE HISTORY Date Changes January 2002 Initial

More information

User's Guide. Alpha Five Accounting. Accounting Made Easy. Version 3.0. Copyright BetaSoft LLC - All Rights Reserved

User's Guide. Alpha Five Accounting. Accounting Made Easy. Version 3.0. Copyright BetaSoft LLC - All Rights Reserved User's Guide Alpha Five Accounting Copyright 1995-2002 BetaSoft LLC - All Rights Reserved Accounting Made Easy Version 3.0 Alpha Five is a trademark of Alpha Software Corp. i ii Table of Contents INTRODUCTION...1

More information

General Ledger Close Month Process

General Ledger Close Month Process Overview General Ledger Close Month Process This task performs end-of-month processing for the General Ledger. Posting in any period, past (closed), current or future is allowed. Therefore, if a transaction

More information

NextGen Trustee GL/Accounting

NextGen Trustee GL/Accounting NextGen Trustee GL/Accounting This class will cover NextGen Financial Management for Trustee Offices. We will look at GL accounts,, Bank Reconciliation, and Reports. GL Account Inquiry Financial Management

More information

Getting Around QuickBooks Online

Getting Around QuickBooks Online QuickBooks Online Student Guide Chapter 2 Getting Around QuickBooks Online Chapter 2 Chapter 2 Now that you ve finished your company setup in QuickBooks Online, you re ready to get started. It s a good

More information

QuickTrav General Ledger for Windows Conversion. Version 1.2

QuickTrav General Ledger for Windows Conversion. Version 1.2 QuickTrav General Ledger for Windows Conversion Version 1.2 Quick Software, 2011 Table of Contents Introduction to WinGL 3 Overview 3 Added Functionality 4 Short-Cut Keys 4 Copy And Paste Between Batches

More information

Daily Revenue. the daily balances as well as the standard monthly account balances.

Daily Revenue. the daily balances as well as the standard monthly account balances. Daily Revenue Overview The concept of the Daily Revenue feature is to track actual and budget dollars and statistics on a daily basis. When posting to the General Ledger on a given day, the same amounts

More information

F/Y 2017 Accounting Procedures

F/Y 2017 Accounting Procedures F/Y 2017 Accounting Procedures June 2016 Table of Contents Importing the Chart of Accounts from Excel to Quickbooks... 3 Setting up Subaccounts in QuickBooks... 6 Setting up the Budget Report and Sending

More information

Sage Australia Tax Reports User's Guide. October 2018

Sage Australia Tax Reports User's Guide. October 2018 Sage 300 2019 Australia Tax Reports User's Guide October 2018 This is a publication of Sage Software, Inc. 2018 The Sage Group plc or its licensors. All rights reserved. Sage, Sage logos, and Sage product

More information

WinGL General Ledger Users Guide

WinGL General Ledger Users Guide WinGL General Ledger Users Guide Documentation Manual Date: August 2011 wingl Table of Contents wingl Table of Contents... 2 General Information... 6 Purpose... 6 Getting Started with wingl... 6 Applications

More information

How to Run Reports in Version 12

How to Run Reports in Version 12 How to Run Reports in Version 12 Reports are grouped by functional area Owner, Property, Tenant, Vendor, GL (Financial), Budget, etc. Each grouping has a report selection screen that includes a variety

More information

Getting Comfortable with PeopleSoft Navigation

Getting Comfortable with PeopleSoft Navigation FMS120,, FMS714, FMS721 Getting Comfortable with Navigation The purpose of this guide is to explain the general layout of the pages and provide explanations of commonly used navigational buttons and links.

More information

Nextgen Transactions. Import Transactions. Local Government Corporation Resource /11/2014

Nextgen Transactions. Import Transactions. Local Government Corporation Resource /11/2014 Nextgen Transactions Presented by Bridget Clayton Local Government Corporation Resource 2014 Transaction Menu Options Import Transactions Transaction Batches Transactions Transaction Templates Post Transactions

More information

Review Financial Information - Ledger Inquiry Step 1

Review Financial Information - Ledger Inquiry Step 1 Step 1 View ledger detail and summary information based on selected criteria. The example below shows how to run the report for a capital project. Screen shots at the end show the criteria to use to run

More information

Journal Entry. Slide 1. Revised November People Soft 8.8. Journal Entry

Journal Entry. Slide 1. Revised November People Soft 8.8. Journal Entry Slide 1 People Soft 8.8 Journal Entry Revised November 2005 1 Slide 2 Learning Objectives How to Get to the Journal Entry Screen How to Create a New Journal Entry How to View an Existing Journal How to

More information

Nextgen Bank Reconciliation

Nextgen Bank Reconciliation Nextgen Bank Reconciliation Presented by: Carol Newton Resource 2014 Bank Reconciliation Menu Financial Management Bank Reconciliation Import Bank Statements Bank Account Transactions Export Checks Import

More information

Sage 300 ERP. Tips & Tricks for. Formerly Sage Accpac ERP. Presented by:

Sage 300 ERP. Tips & Tricks for. Formerly Sage Accpac ERP. Presented by: Tips & Tricks for Sage 300 ERP Formerly Sage Accpac ERP Presented by: Andy McManis Business Analyst Sage 300 Specialist amcmanis@netatwork.com 425-402-4000 Ext 4869 Peter Conway Account Manager pconway@netatwork.com

More information

Microsoft Dynamics GP Professional Services Tools Library

Microsoft Dynamics GP Professional Services Tools Library Microsoft Dynamics GP 2015 Professional Services Tools Library Copyright Copyright 2014 Microsoft Corporation. All rights reserved. Limitation of liability This document is provided as-is. Information

More information

MicroStrategy Quick Guide: Running the PI Report

MicroStrategy Quick Guide: Running the PI Report MicroStrategy Quick Guide: Running the PI Report ITS Business Intelligence Group Go to reporting.gmu.edu and click on Login to Microstrategy ACTION Enter User name and Password. Keep default selection

More information

Bank Statement Reconciliation

Bank Statement Reconciliation Bank Statement Reconciliation Updated March 2016 Contents About Bank Reconciliation...3 Reconciling Your Account...3 Importing Users into SQL...3 Creating a Bank Account...4 Editing a Bank Account...5

More information

RG Connect 2015 Microsoft Dynamics GP Tips and Tricks October Prepared by Sheri Carney

RG Connect 2015 Microsoft Dynamics GP Tips and Tricks October Prepared by Sheri Carney RG Connect 2015 Microsoft Dynamics GP Tips and Tricks October.23.2015 Prepared by Sheri Carney 600 SW 39 th Street, Suite 250 Renton, WA 98057 425.277.4760 www.resgroup.com Contents GLOBAL TIPS... 4 1.

More information

LEGISLATIVE BUDGET BOARD. ABEST/USAS Reconciliation Reporting

LEGISLATIVE BUDGET BOARD. ABEST/USAS Reconciliation Reporting LEGISLATIVE BUDGET BOARD ABEST/USAS Reconciliation Reporting Instructions for State Agencies and Institutions LEGISLATIVE BUDGET BOARD JANUARY 2017 Table of Contents Document Conventions... 2 Getting Started...

More information

Instructor: Clara Knox. Reference:

Instructor: Clara Knox. Reference: Instructor: Clara Knox Reference: http://www.smith.edu/tara/cognos/documents/query_studio_users_guide.pdf Reporting tool for creating simple queries and reports in COGNOS 10.1, the web-base reporting solution.

More information

Juris Year-End Checklist 2011

Juris Year-End Checklist 2011 Juris Year-End Checklist 2011 Page1 Checklist for 2011 The only year-end processing required in Juris is Firm Accounting and Disbursements. This Firm Accounting Close Accounting Year function does the

More information

Steps in Ledger Upload and Preparation. Click on Add-ins > Q&A xl > Logon > Enter User ID (e.g. TBW) and click OK (Users of Office 2007)

Steps in Ledger Upload and Preparation. Click on Add-ins > Q&A xl > Logon > Enter User ID (e.g. TBW) and click OK (Users of Office 2007) Steps in Ledger Upload and Preparation Click on Add-ins > Q&A xl > Logon > Enter User ID (e.g. TBW) and click OK (Users of Office 2007) Click on Data Send For an existing profile or pre-mapped upload Click

More information

General Ledger. User Manual

General Ledger. User Manual User Manual Copyright revised 2/2018 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,

More information

RDS ADVANTAGE FAST CHECK TUTORIAL

RDS ADVANTAGE FAST CHECK TUTORIAL RDS ADVANTAGE FAST CHECK TUTORIAL Complementing the original RDS Advantage check payment process is the abbreviated payment entry program, Fast Check. This easily mastered, no frills approach enables even

More information

OBIEE. Oracle Business Intelligence Enterprise Edition. Rensselaer Business Intelligence Finance Author Training

OBIEE. Oracle Business Intelligence Enterprise Edition. Rensselaer Business Intelligence Finance Author Training OBIEE Oracle Business Intelligence Enterprise Edition Rensselaer Business Intelligence Finance Author Training TABLE OF CONTENTS INTRODUCTION... 1 USER INTERFACE... 1 HOW TO LAUNCH OBIEE... 1 TERMINOLOGY...

More information

GENERAL LEDGER USER S GUIDE

GENERAL LEDGER USER S GUIDE GENERAL LEDGER USER S GUIDE General Ledger User s Guide Copyright Notification At Cougar Mountain Software, Inc., we strive to produce high-quality software at reasonable prices. We can only do this, however,

More information

GENERAL LEDGER. MaddenCo Inc. Revised March Copyright 2017 by MaddenCo, Inc All rights reserved.

GENERAL LEDGER. MaddenCo Inc. Revised March Copyright 2017 by MaddenCo, Inc All rights reserved. GENERAL LEDGER MaddenCo Inc. Revised March 2017 Copyright 2017 by MaddenCo, Inc All rights reserved. Please understand that MaddenCo has expended substantial sums in developing and maintaining its software,

More information

NCLTEC Accounting User Manual

NCLTEC Accounting User Manual NCLTEC Accounting User Manual Latest Update: Feb 6, 0 For information about customer support, please visit our homepage at http://www.ncltec.com on the World Wide Web. Copyright 05 NCL Energy Technology

More information

Solomon 4.5 General Ledger Manual

Solomon 4.5 General Ledger Manual Campus Crusade for Christ International Financial Management Solomon 4.5 General Ledger Manual written for use by CCC ministries worldwide International Financial Management 100 Lake Hart Dr. 2800 Orlando,

More information

General Ledger 3000 Reference Manual Prophet 21 FASPAC 4.2

General Ledger 3000 Reference Manual Prophet 21 FASPAC 4.2 General Ledger 3000 Reference Manual Prophet 21 FASPAC 4.2 Table of Contents INTRODUCTION 7 Getting Started 7 Account Numbers 8 AR and AR Transactions 8 Profit Centers and Financial Entities 9 Financial

More information

Nextgen. Bank Reconciliation Menu. NG FM - Bank Reconciliation 3/29/2016. Resource Financial Management. Bank Reconciliation

Nextgen. Bank Reconciliation Menu. NG FM - Bank Reconciliation 3/29/2016. Resource Financial Management. Bank Reconciliation NG FM - 3/29/2016 Nextgen Resource 2016 Menu Financial Management Import Bank Statements Bank Account Transactions Export Checks Import Bank Statement Allows you to import a reconciliation file from the

More information

Merge Data from Shelby v.5 & ShelbyNext to Microsoft Word

Merge Data from Shelby v.5 & ShelbyNext to Microsoft Word Merge Data from Shelby v.5 & ShelbyNext to Microsoft Word (Course #E236) Presented by: Betty Heston, Shelby Consultant 2018 Shelby Systems, Inc. Other brand and product names are trademarks or registered

More information

Sage Financial Reporter User's Guide. May 2017

Sage Financial Reporter User's Guide. May 2017 Sage 300 2018 Financial Reporter 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

More information

Nexsure Training Manual - Accounting. Chapter 7

Nexsure Training Manual - Accounting. Chapter 7 Nexsure Training Manual - Accounting Vendor Entries In This Chapter Vendor Entries at the Organization and Territory Level Vendor Entity Definition Disbursements to Vendors Line Item Distribution Receiving

More information

DASHBOARD. User Guide. CIVIC Systems, LLC

DASHBOARD. User Guide. CIVIC Systems, LLC CIVIC Systems, LLC DASHBOARD User Guide After you install the software, store this CD-ROM in a safe place for future use. Follow the installation instructions carefully. If you need more assistance, please

More information

Copyright...7. Overview of General Ledger Processes Configuration...11

Copyright...7. Overview of General Ledger Processes Configuration...11 Contents 2 Contents Copyright...7 Overview of General Ledger Processes... 8 Configuration...11 Preparation...11 Recommended Initial Configuration of the General Ledger Module... 11 Advanced Configuration...12

More information

If you want to specify the account code itself, there are several ways to enter the code:

If you want to specify the account code itself, there are several ways to enter the code: Guidelines ENTERING ACCOUNT CODES There are a number of ways to enter account codes. You can enter: account codes If an Account Code is locked in the CSIU Fund Accounting application, it typically cannot

More information

Instruction Guide. Entering a Managerial Budget Using the Excel Spreadsheet

Instruction Guide. Entering a Managerial Budget Using the Excel Spreadsheet Entering a Managerial Budget Using the Excel Spreadsheet Manager Budget Spreadsheet import requires three files to be downloaded from the General Accounting website at http://www.fa.ufl.edu/forms-and-publications/forms/.

More information

Financials Module: General Ledger

Financials Module: General Ledger The Priority Enterprise Management System Financials Module: General Ledger Contents Introduction... 2 Chart of Accounts... 2 Entry Journal... 4 Reconciliations... 7 Financial Statements... 9 Cash Flow...

More information

CHAPTER 3: DAILY PROCEDURES

CHAPTER 3: DAILY PROCEDURES Chapter 3: Daily Procedures CHAPTER 3: DAILY PROCEDURES Training Objectives Actively participating during this chapter helps you to: Understand the different types of transactions and the procedures for

More information

Bank Reconciliation Release 2015

Bank Reconciliation Release 2015 Bank Reconciliation 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

Sage ERP Accpac 6.0A. Financial Link Professional I User Guide

Sage ERP Accpac 6.0A. Financial Link Professional I User Guide Sage ERP Accpac 6.0A Financial Link Professional I User Guide 2010 Sage Software, Inc. All rights reserved. Sage, the Sage logos, and all Sage ERP Accpac product and service names mentioned herein are

More information

RELEASE NOTES DECEMBER This document explains new product enhancements added to the ADMINS Unified Community for Windows General Ledger system.

RELEASE NOTES DECEMBER This document explains new product enhancements added to the ADMINS Unified Community for Windows General Ledger system. GENERAL LEDGER RELEASE NOTES DECEMBER 2018 This document explains new product enhancements added to the ADMINS Unified Community for Windows General Ledger system. CONTENTS 1. MAINTAIN ACCOUNTS IN CLOSED

More information

Introduction to Standard Reports

Introduction to Standard Reports Introduction to Standard Reports Guideline to WebFOCUS fiscaladmin.training@uconn.edu TABLE OF CONTENTS 1) Overview of Terminology A. Basic Terms 2) Getting Started A. Logging into WebFOCUS B. Getting

More information

Online Banking Guide Commercial Banking Business Banking Government Banking

Online Banking Guide Commercial Banking Business Banking Government Banking Online Banking Guide Commercial Banking Business Banking Government Banking Effective April 16, 2013 1 Login Users may login directly from www.unibank.com Select Online Banking. Enter your existing login

More information

Creating Actuals Journals Using NUFinancials

Creating Actuals Journals Using NUFinancials NUIT Administrative Systems Creating Actuals Journals Using Journals record the effects of financial transactions on Northwestern University s ledger. This training guide explains how to create, update,

More information

ClubConnect General Ledger Financials with Budgets, Ratios, and Memo Accounts

ClubConnect General Ledger Financials with Budgets, Ratios, and Memo Accounts Financials with Budgets, Ratios, and Memo Accounts Webinar Topics Budget Information on Financials... 3 Assign Budget Versions to the Financials... 3 Select Budget Formats for Financials... 4 Ratios...

More information

NextGen Financial Management

NextGen Financial Management NextGen Financial Management Transactions & Account Presented by Local Government Corporation Resource 2016 NextGen Transactions and Account Import Transactions Transaction Batches Transactions Transaction

More information

Downloading General Ledger Transactions to Excel

Downloading General Ledger Transactions to Excel SAN MATEO COUNTY OFFICE OF EDUCATION CECC Financial System Procedures This document provides instructions on how to download the transactions listed on an HP 3000 GLD110 report into Excel using a GLD110

More information

CheckBook Pro 2 Help

CheckBook Pro 2 Help Get started with CheckBook Pro 9 Introduction 9 Create your Accounts document 10 Name your first Account 11 Your Starting Balance 12 Currency 13 We're not done yet! 14 AutoCompletion 15 Descriptions 16

More information

CENTRAL SUSQUEHANNA INTERMEDIATE UNIT Application: Fund Accounting

CENTRAL SUSQUEHANNA INTERMEDIATE UNIT Application: Fund Accounting CENTRAL SUSQUEHANNA INTERMEDIATE UNIT Application: Fund Accounting Setting Up a New Fund Step-by-step Instructions 2013 Central Susquehanna Intermediate Unit, USA Table of Contents Introduction... 1 Breakdown

More information

5.0 Journal Processing

5.0 Journal Processing 5.0 Journal Processing Chapter at a glance: 5.1 Standard Journals 5.2 Inquiring on Standard Journals 5.3 Submitting Standard Journals 5.1 Standard Journals Defining Ledgers A ledger is a set of posted

More information

RUNNING GENERAL REPORTS AND QUERIES IN PEOPLESOFT USER GUIDE

RUNNING GENERAL REPORTS AND QUERIES IN PEOPLESOFT USER GUIDE RUNNING GENERAL REPORTS AND QUERIES IN PEOPLESOFT USER GUIDE If you have questions about information in this document, or, if after reading it, you cannot find the information you need, please submit a

More information