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- CheckBook Plus
-
- Version 5.11
-
- User's Guide and Reference Manual
-
- Copyright 1989-1996 By Bill Beshears
- Beshears Software Associates
-
- All Right Reserved
-
-
-
-
-
- DISCLAIMER
-
- THIS SOFTWARE IS SUPPLIED TO YOU "AS IS". THE AUTHOR MAKES NO
- REPRESENTATIONS OR WARRANTY WITH RESPECT TO THE SOFTWARE, AND
- SPECIFICALLY DISCLAIMS ANY IMPLIED WARRANTIES OF MERCHANTABILITY
- OR FITNESS OF THE SOFTWARE FOR ANY PARTICULAR PURPOSE. YOU MUST
- ASSUME ALL RISK FOR THE INSTALLATION, USE, AND RESULTS OBTAINED
- FROM THE SOFTWARE. THE AUTHOR SHALL NOT BE LIABLE FOR ANY ERROR
- CONTAINED HEREIN OR FOR INCIDENTAL OR CONSEQUENTIAL DAMAGES
- RESULTING FROM THE FURNISHING, PERFORMANCE, OR USES OF THIS
- SOFTWARE.
-
-
-
-
-
- This copyrighted software is not a free program. You are granted
- a right to use the software for an evaluation period not to
- exceed 30 days. You may also freely copy and share the
- distribution disk to allow others to try out the software. (See
- VENDOR.DOC file).
-
- If you find the software useful and continue to use it beyond the
- evaluation period, you must pay the registration fee. Registered
- users receive:
-
- - The latest version of the software
-
- - A printed user's manual
-
- - Free software updates for one year
-
- - Free letter or phone support
-
- - Free database file compression utility.
-
- The registration fee is $24.95 plus $5.00 shipping and handling.
- Telephone orders are accepted.
-
- Thank you for evaluating CheckBook Plus, and we would sincerely
- appreciate your comments or suggestions.
-
-
- Beshears Software Associates
- 5710 Rita Street
- Southside, AL 35907
- (205) 442-6630
-
-
- _______
- ____|__ | (R)
- --| | |-------------------
- | ____|__ | Association of
- | | |_| Shareware
- |__| o | Professionals
- -----| | |---------------------
- |___|___| MEMBER
-
-
-
- This program is produced by a member of the Association of
- Shareware Professionals (ASP). ASP wants to make sure that the
- shareware principle works for you. If you are unable to resolve
- a shareware-related problem with an ASP member by contacting the
- member directly, ASP may be able to help. The ASP Ombudsman can
- help you resolve a dispute or problem with an ASP member, but
- does not provide technical support for members' products. Please
- write to The ASP Ombudsman at 545 Grover Road, Muskegon, MI
- 49442-9427 or send a Compuserve message via CompuServe Mail to
- ASP Ombudsman 70007,3536
-
-
-
-
-
- CONTENTS
-
- Chapter 1 - INTRODUCTION . . . . . . . . . . . . . . . . . . 1
-
- Chapter 2 - INSTALLING CHECKBOOK PLUS . . . . . . . . . . . . 2
- SYSTEM REQUIREMENTS . . . . . . . . . . . . . . . . . . 2
- DISK CONTENTS . . . . . . . . . . . . . . . . . . . . . 2
- COPYING THE DISTRIBUTION DISK . . . . . . . . . . . . . 3
- INSTALLING TO A HARD DISK . . . . . . . . . . . . . . . 3
- INSTALLING TO A FLOPPY DISK . . . . . . . . . . . . . . 4
-
- Chapter 3 - GETTING STARTED . . . . . . . . . . . . . . . . . 5
- USER INTERFACE . . . . . . . . . . . . . . . . . . . . . 5
- USING PULL-DOWN MENUS . . . . . . . . . . . . . . . 5
- KEYBOARD TECHNIQUE . . . . . . . . . . . . . . 5
- KEYBOARD ARROW KEYS TECHNIQUE . . . . . . . . 6
- SHORTCUT KEYS TECHNIQUE . . . . . . . . . . . 6
- MOUSE TECHNIQUE . . . . . . . . . . . . . . . 6
- CLOSING THE MENU . . . . . . . . . . . . . . . 6
- USING WINDOWS . . . . . . . . . . . . . . . . . . . 6
- INFORMATION WINDOWS . . . . . . . . . . . . . 7
- INPUT WINDOWS . . . . . . . . . . . . . . . . 8
- USING HELP . . . . . . . . . . . . . . . . . . . . . . . 9
- EXITING CHECKBOOK PLUS . . . . . . . . . . . . . . . . . 9
-
- Chapter 4 - FILES AND ACCOUNTS . . . . . . . . . . . . . . . 10
- FIRST TIME STARTUP . . . . . . . . . . . . . . . . . . . 10
- SET DATA FILE . . . . . . . . . . . . . . . . . . . . . 11
- ACCOUNT SELECTION AND SETUP WINDOW . . . . . . . . . . . 12
- ADDING AN ACCOUNT . . . . . . . . . . . . . . . . . 12
- SELECTING AN ACCOUNT . . . . . . . . . . . . . . . 13
- EDITING AN ACCOUNT . . . . . . . . . . . . . . . . 13
- DELETING AN ACCOUNT . . . . . . . . . . . . . . . . 14
- RECALCULATING ACCOUNT BALANCE . . . . . . . . . . . 15
-
- Chapter 5 - USING THE REGISTER . . . . . . . . . . . . . . . 16
- RECORDING TRANSACTIONS IN THE REGISTER . . . . . . . . . 16
- EDITING A TRANSACTION IN THE REGISTER . . . . . . . . . 19
- DELETING A TRANSACTION IN THE REGISTER . . . . . . . . . 19
- SEARCHING FOR TEXT IN TRANSACTION(S) . . . . . . . . . . 20
- USING THE FIND COMMAND . . . . . . . . . . . . . . 20
- USING THE NEXT FIND COMMAND . . . . . . . . . . . . 21
- USING THE GOTO DATE COMMAND . . . . . . . . . . . . 21
- PRINTING THE REGISTER . . . . . . . . . . . . . . . . . 22
- CHECK PRINTING . . . . . . . . . . . . . . . . . . . . . 22
- EXPORTING THE REGISTER . . . . . . . . . . . . . . . . . 23
-
- Chapter 6 - USING CATEGORIES . . . . . . . . . . . . . . . . 25
- WORKING WITH CATEGORIES . . . . . . . . . . . . . . . . 25
- CATEGORY TOTALS WINDOW . . . . . . . . . . . . . . . . . 25
- DISPLAYING MONTHLY TOTALS FOR A CATEGORY . . . . . 26
- VIEWING TRANSACTIONS FOR A CATEGORY . . . . . . . . 27
- CHANGING A CATEGORY NAME . . . . . . . . . . . . . 28
- DELETING A CATEGORY . . . . . . . . . . . . . . . . 28
-
-
-
-
-
- BUDGETING A CATEGORY . . . . . . . . . . . . . . . 29
-
- Chapter 7 - USING MEMORIZED TRANSACTIONS . . . . . . . . . . 30
- MEMORIZING A TRANSACTION . . . . . . . . . . . . . . . . 30
- MEMORIZED TRANSACTIONS WINDOW . . . . . . . . . . . . . 30
- RECALLING A MEMORIZED TRANSACTION . . . . . . . . . 31
- ADDING A MEMORIZED TRANSACTION . . . . . . . . . . 31
- EDITING A MEMORIZED TRANSACTION . . . . . . . . . . 32
- DELETING A MEMORIZED TRANSACTION . . . . . . . . . 33
-
- Chapter 8 - VIEWING ACCOUNT, SYSTEM INFORMATION, AND TIME . . 34
- VIEW ACCOUNT SUMMARY . . . . . . . . . . . . . . . . . . 34
- VIEW SYSTEM INFORMATION . . . . . . . . . . . . . . . . 34
- VIEW TIME . . . . . . . . . . . . . . . . . . . . . . . 34
-
- Chapter 9 - CASHFLOW AND INCOME STATEMENT REPORTS . . . . . . 35
-
- Chapter 10 - ACCOUNT RECONCILIATION . . . . . . . . . . . . . 36
- ENTERING THE ENDING ACCOUNT BALANCE . . . . . . . . . . 36
- MARKING THE TRANSACTIONS THAT HAVE CLEARED THE BANK . . 36
- MISSING CHECK REPORT . . . . . . . . . . . . . . . . . . 37
- RECONCILIATION REPORT . . . . . . . . . . . . . . . . . 38
-
- Chapter 11 - USING THE POP-UP CALENDAR AND CALCULATORS . . . 39
- USING THE POP-UP CALENDAR . . . . . . . . . . . . . . . 39
- USING THE POP-UP DESKTOP CALCULATOR . . . . . . . . . . 39
- USING THE FINANCIAL CALCULATOR . . . . . . . . . . . . . 40
-
- Chapter 12 - CHOOSING OPTIONS . . . . . . . . . . . . . . . . 42
- RUNNING BALANCE ON REGISTER OPTION . . . . . . . . . . . 42
- SOUND OPTION . . . . . . . . . . . . . . . . . . . . . . 42
- CHANGE PRINTED CHECK LAYOUT . . . . . . . . . . . . . . 42
- CHANGE PRINTER CONTROL CODES . . . . . . . . . . . . . . 44
- CHANGE DISPLAY COLORS OPTION . . . . . . . . . . . . . . 44
-
- Chapter 13 - BACKING UP YOUR DATA FILE . . . . . . . . . . . 46
- RESTORING DATA FILES . . . . . . . . . . . . . . . . . . 47
-
- Chapter 14 - INITIALIZING A NEW YEAR . . . . . . . . . . . . 48
-
- Chapter 15 - IF YOU HAVE A PROBLEM . . . . . . . . . . . . . 50
- ERROR MESSAGES . . . . . . . . . . . . . . . . . . . . . 50
-
- Appendix A - SHORTCUT KEY LIST . . . . . . . . . . . . . . . 52
-
- Appendix B - USING ISAMREPR UTILITY . . . . . . . . . . . . . 54
-
- Appendix C - ISAMPACK UTILITY . . . . . . . . . . . . . . . . 55
-
-
-
-
-
- Chapter 1 - INTRODUCTION
- ------------------------
-
- CheckBook Plus is an easy to learn and use, register based, cash
- management system for the home or small business. The program
- operates like your paper checkbook, but is much more than just a
- computerized checkbook. With CheckBook Plus, you can:
-
- Setup checking, savings, credit card, or any other
- income/payment type accounts and consolidate the information
- for all of your accounts to see your total financial
- picture.
-
- Categorize your income and payment transactions, enter
- budgets for your categories, then create custom reports that
- show you precisely where your money goes and how you are
- performing to your financial goals.
-
- Use predefined income and payment categories, or define your
- own categories, or both.
-
- Memorize then recall your frequently used transactions to
- make recording transactions faster and easier.
-
- Reconcile your checking accounts in a small fraction of the
- time required to do it manually.
-
- Press one key and get context-sensitive help to aid you in
- learning to use the program.
-
- Pop-up a calendar, desktop calculator, or financial
- calculator from almost anywhere in the program.
-
- Your satisfaction with our products is important to us. We are
- committed to producing the best quality software at the lowest
- possible price. However, we recognize there is always room for
- improvement. We would sincerely appreciate your comments or
- suggestions regarding the software or documentation. Please call
- or write us.
-
-
-
-
-
-
-
-
-
-
-
-
-
-
- 1
-
-
-
-
-
- Chapter 2 - INSTALLING CHECKBOOK PLUS
- -------------------------------------
-
- This chapter describes what you need to use CheckBook Plus and
- how to install the software.
-
- SYSTEM REQUIREMENTS
- -------------------
-
- To use CheckBook Plus, you need the following:
-
- 1. An IBM-compatible personal computer with at least 512K
- of memory and DOS 2.1 or later version.
-
- 2. A monochrome or color (CGA, EGA, or VGA) monitor.
-
- 3. A hard (fixed) disk drive or 2 floppy disk drives, one
- of the floppy drives must be a high density (1.2 or
- 1.44 megabyte).
-
- 4. (Optional) a printer to print checks or reports.
-
- 5. (Optional) a Microsoft-compatible mouse.
-
- DISK CONTENTS
- -------------
-
- Normally, the CheckBook Plus software is distributed in a self-
- extracting format and the distribution disk will include two
- files:
-
- CBHELP.COM - Instructions for using CB511SFX.EXE.
-
- CB511SFX.EXE - Self-extracting installation program.
-
- The CB511SFX.EXE program extracts and installs the following
- files to the disk drive and directory you specify:
-
- CBPLUS.EXE - The CheckBook Plus executable program.
- MANUAL.DOC - This User's manual.
- OMBUDSMN.DOC - ASP Ombudsman information.
- PACKING.LST - Packing list of the CheckBook Plus files.
- PRINTMAN.BAT - Batch file for printing user's manual.
- REGISTER.DOC - Registration document.
- VENDOR.DOC - Information about distributing CBPLUS.
- ISAMREPR.EXE - Utility for repairing corrupted databases.
-
- If you received the files already extracted, be sure you have all
- the files listed above. If any files are missing, please contact
- us.
-
-
-
- 2
-
-
-
-
-
- COPYING THE DISTRIBUTION DISK
- -----------------------------
-
- Before using CheckBook Plus, you should make a backup copy of
- your original distribution disk. To make a backup copy:
-
- 1. Insert the CheckBook Plus distribution disk into drive
- A:
-
- 2. Insert a blank, formatted disk into drive B: (if you
- have two floppy disk drives).
-
- 3. At the DOS prompt, type in the following DOS command:
-
- COPY A:*.* B:/V <press the Enter key>
-
- use this command even if you have only one floppy disk
- drive, DOS will prompt you when you need to switch the
- distribution disk and backup disk.
-
- Refer to your DOS documentation if you need help copying the
- disk.
-
- INSTALLING TO A HARD DISK
- -------------------------
-
- To install CheckBook Plus to a hard disk, you will first need to
- create a directory on your hard disk where the software will be
- installed, then execute the CB511SFX.EXE installation program
- from that directory. The directory name can be any valid name.
- In the example below, the files will be extracted from a disk in
- drive A: (source drive) to a directory named CBPLUS which will be
- created on drive C: (destination drive). You may change the
- source drive, destination drive, and directory name as desired.
-
- Hard Disk Installation Example:
-
- 1. Boot-up DOS
-
- 2. Insert the CheckBook Plus distribution disk into your
- disk drive (this example assumes the distribution disk
- is in drive A:).
-
- 3. Type each of the DOS commands shown below followed by
- the Enter key (Return key on some keyboards):
-
-
-
-
-
-
-
-
- 3
-
-
-
-
-
- DOS Commands Comments (Do Not Type)
- ------------ ----------------------------------
- C: makes drive C: the current drive.
- CD\ changes to drive C: root directory.
- MD CBPLUS makes directory named CBPLUS.
- CD CBPLUS changes directory to CBPLUS.
- A:CB511SFX installs files to CBPLUS directory.
-
- Note - If you received the files already extracted, change
- the last DOS command listed above (A:CB511SFX) to:
-
- COPY A:*.* copies files to CBPLUS directory.
-
- You can now run the program from the \CBPLUS directory on
- your hard disk by typing CBPLUS then pressing the Enter key.
-
- INSTALLING TO A FLOPPY DISK
- ---------------------------
-
- To install CheckBook Plus to a floppy disk, you will need two
- floppy disk drives, one of which must be a high density (1.2 or
- 1.44 megabyte).
-
- Floppy Disk Installation Example:
-
- 1. Boot-up DOS.
-
- 2. Insert the CheckBook Plus distribution disk into one of
- your disk drives. This example assumes the
- distribution disk is in drive A:. However, if one of
- your floppy drives is a 360K low density drive, insert
- the distribution disk in that drive.
-
- 3. Insert a blank, formatted, high-density disk into your
- other disk drive (drive B: in this example).
-
- 4. Type the following commands:
-
- DOS Commands Comments (Do Not Type)
- ------------ ----------------------------------
- B: makes drive B: the current drive.
- A:CB511SFX installs files to drive B:.
-
- Note - If you received the files already extracted, change
- the last DOS command listed above (A:CB511SFX) to:
-
- COPY A:*.* copies files to CBPLUS directory.
-
- You can now run the program from your floppy disk by typing
- CBPLUS then pressing the Enter key.
-
-
-
- 4
-
-
-
-
-
- Chapter 3 - GETTING STARTED
- ---------------------------
-
- This chapter describes how to use CheckBook Plus menus, windows,
- and on-line help, and how to get started using the program.
-
- USER INTERFACE
- --------------
-
- Checkbook Plus uses a pull-down menu interface for choosing
- commands. A text window environment is used for entering and
- displaying information.
-
- The CheckBook Plus screen is divided into three parts:
-
- 1. The bar across the top of the screen shows the names of
- the pull-down menus and the current date.
-
- 2. The center area of the screen is used for information
- windows.
-
- 3. The key definition line, at the bottom of the screen,
- serves as a reminder of the keys that perform basic
- operations.
-
-
- USING PULL-DOWN MENUS
- ---------------------
-
- The horizontal bar across the top of the screen shows the names
- of the pull-down menus. Menu commands may be chosen using the
- keyboard or a mouse.
-
- KEYBOARD TECHNIQUE:
-
- 1. Press the Alt key to activate the pull-down menu
- system.
-
- 2. Press the highlighted letter in a menu name to pull
- down the menu and display the commands. For example,
- press F for the File menu or E for the Edit menu, etc.
-
- 3. Press the highlighted letter in a menu command name to
- choose the command.
-
-
-
-
-
-
-
-
-
- 5
-
-
-
-
-
- KEYBOARD ARROW KEYS TECHNIQUE:
-
- 1. Press the Alt key to activate the pull-down menu
- system.
-
- 2. Use the Left/Right arrow keys to highlight a menu name.
-
- 3. Use the Down arrow key or Enter key to pull down the
- highlighted menu.
-
- 4. Use the Up/Down arrow keys to highlight a command.
-
- 5. Press the Enter key to choose the command highlighted.
-
- SHORTCUT KEYS TECHNIQUE:
-
- Shortcut keys are used to reduce the key strokes necessary
- for selecting menu commands by allowing you to bypass the
- top row menu. For example, to record a check in the
- Register, you can select the Add Check/Debit command from
- the File menu, or you can bypass the menu by using the
- shortcut key combination Ctrl+C (hold down the Ctrl key and
- press the C key). Shortcut keys are listed in the pull-down
- menus to the right of the commands. Most, but not all, menu
- commands can be selected using shortcut keys.
-
- MOUSE TECHNIQUE:
-
- 1. Position the mouse pointer to a menu name, and click
- the left button to pull down the menu.
-
- 2. Position the mouse pointer to a command in the menu,
- and click the left button to choose the command.
-
- CLOSING THE MENU:
-
- To close a menu without choosing a command, press the Escape
- key, or move the mouse pointer outside the pull-down menu,
- and click the left button.
-
- USING WINDOWS
- -------------
-
- CheckBook Plus utilizes two types of windows, information windows
- and data entry or input windows.
-
-
-
-
-
-
-
-
- 6
-
-
-
-
-
- INFORMATION WINDOWS
- -------------------
-
- Information windows are used for displaying and working with
- information and have the following features:
-
- SELECTOR BAR:
-
- The horizontal bar, that highlights a line in a window in
- reverse video, is the Selector Bar. This bar indicates the
- current line that is the subject for editing, deleting,
- viewing, and command button operations.
-
- The Selector Bar is moved up or down using the keyboard
- arrow keys, PgUp, PgDn, Home, or End keys or by pointing to
- a line and clicking the left mouse button.
-
- SCROLL BAR:
-
- The vertical bar at the right of a window is the scroll bar.
- The solid box on the scroll bar indicates the relative file
- position of the information in a window. A mouse may be
- used to scroll the information in a window by pointing to a
- location on the scroll bar and clicking the left mouse
- button. Click the mouse above the solid box to move up or
- below the solid box to move down.
-
- COMMAND BUTTONS:
-
- At the bottom of each window will be one or more command
- buttons. A command button is a command that carries out an
- action according to its name. The command button
- highlighted in reverse video is executed if the Enter key is
- pressed. If more than one command button is displayed, the
- Tab key is used to toggle the buttons. If a command button
- is executed with a mouse by pointing to the button and
- clicking the left mouse button, that action will be executed
- regardless of the command button that is highlighted.
-
- DIALOG BOXES:
-
- A dialog box is a box that appears over an existing window
- when CheckBook Plus needs additional information to carry
- out an activity or needs to send you a message. At the
- bottom of a dialog box will be one or more command buttons
- for you to use to select an action.
-
-
-
-
-
-
-
- 7
-
-
-
-
-
- INPUT WINDOWS
- -------------
-
- Input windows are used for entering information and have the
- following features:
-
- DATA ENTRY FIELDS:
-
- Data entry fields are the areas in an input window where
- information is typed in. Some data entry fields are
- designated as numeric fields and can contain only numbers.
- For example, the amount field in a transaction input window
- is a numeric only field.
-
- When the cursor is in a numeric field, it is positioned to
- the right-most number position. Numbers are entered and
- deleted from this position. If you make a mistake entering
- a number, use the Delete key to delete the number and re-
- enter.
-
- Some numeric fields have fixed decimal places, and the
- decimal place cannot be moved. For example, the amount
- field in a transaction input window has 2 fixed decimal
- places.
-
- The keyboard keys used to move the cursor in an input window
- are:
-
- Key Moves Cursor To:
- --------- ----------------
- Home First field
- End Last field
- Tab Next field
- Shift+Tab Previous field
- Up Arrow Previous field
- Down Arrow Next field
- Left Arrow Left one position
- Right Arrow Right one position
-
- The keyboard keys used to delete information in data entry
- fields are:
-
- Key Delete Action
- --------- ----------------------------------
- Delete Deletes character at the cursor
- position
- Backspace Deletes one character to the left
- Ctrl+Backspace Deletes entire field
-
- The Insert key toggles the insert mode on/off. When the
- insert mode is on, a large cursor is displayed.
-
-
- 8
-
-
-
-
-
- COMMAND BUTTONS:
-
- At the bottom of an input window will be two command
- buttons. The first command button (Enter=Record or
- Enter=Continue) is used either to record the information in
- the window, or to continue, depending on the current
- activity. The first command button action is always carried
- out if the Enter key is pressed. The second command button
- (Escape=Cancel) is used to cancel input operations and close
- the input window without recording the information.
-
- Either of the command buttons can be executed with a mouse
- by clicking the left mouse button on a command button.
-
-
- USING HELP
- ----------
-
- CheckBook Plus features a comprehensive on-line help system to
- guide you through the use of the software. There are two ways to
- get help:
-
- 1. Context-sensitive help is always available simply by
- pressing the F1 key. The help text displayed will
- pertain to the current window open on the screen.
-
- 2. Activate the Help pull-down menu by pressing the Alt
- key, then the H key, then select a help topic from the
- Help menu.
-
- When the help system is activated, a Help window will open
- listing the help text for the selected topic. If the help text
- does not all fit in the Help window, you can scroll new text into
- the window using the keyboard or a mouse.
-
- To close the Help window, press the Enter key, Escape key, or use
- a mouse to point to the <Exit Help> command button at the bottom
- of the Help window, and click the left mouse button.
-
- EXITING CHECKBOOK PLUS
- ----------------------
-
- To exit CheckBook Plus either select the Exit command on the File
- menu or execute the <Exit> command button in the Register window.
- It's a good practice to backup your data file before exiting the
- program if you have made any changes to your information. Refer
- to chapter 13 for information on using the Backup command.
-
- ---------------------------------------------------------------
- YOU SHOULD NEVER TURN OFF YOUR COMPUTER WHILE CHECKBOOK PLUS IS
- RUNNING. THIS COULD DAMAGE YOUR DATA FILE!!!!
- ---------------------------------------------------------------
-
- 9
-
-
-
-
-
- Chapter 4 - FILES AND ACCOUNTS
- ------------------------------
-
- CheckBook Plus stores information in one or more user specified
- disk file(s). A disk file contains information for one or more
- accounts: checking accounts, savings accounts, credit card
- accounts, etc. Most users need only one file. However, you can
- setup as many files as you need.
-
- There are advantages and disadvantages of having your information
- in more than one file. CheckBook Plus can only work with
- information from one file at a time, so as a general rule, you
- should keep all related data in the same file. This will allow
- you to consolidate and report summary information from all the
- accounts stored in a single file.
-
- You will need more the one file if:
-
- 1. Your data files become too big to fit on one disk.
-
- 2. You want to maintain separate files for each year.
-
- 3. You run a business and want to maintain separate
- records for your business finances and personal
- finances.
-
- 4. You maintain financial records for clients and need to
- keep separate records for each client.
-
-
- FIRST TIME STARTUP
- ------------------
-
- The first time you start CheckBook Plus, you will need to:
-
- 1. Enter the file name and disk location for your first
- file in the Set Data File input window. This window
- will open automatically for this purpose.
-
- 2. Setup an account to record your transactions in.
-
- The steps for opening a new file and setting up an account are
- described below.
-
-
-
-
-
-
-
-
-
-
- 10
-
-
-
-
-
-
- SET DATA FILE
- -------------
-
- The Set Data File input window is used to setup (open) a new
- CheckBook Plus file, or to enter the name for an existing
- CheckBook Plus data file you want to work with.
-
- To open the Set Data File input window, select the Set Data File
- command from the File menu.
-
- To setup a new file, or enter the name and location for an
- existing CheckBook Plus file, type in the file information in the
- window as follows:
-
- FILE NAME:
- Enter the name for the file. The name can be any
- combination of letters or numbers up to 8 characters. For
- example, for your personal finances, you could use a file
- name such as PERSONAL or HOME. For your business finances,
- you could use a name such as BUSINESS, BIZACCTS, or the name
- of your business.
-
- DISK DRIVE:
- Enter the letter for the disk drive where the file will be
- located. On most MSDOS or PCDOS systems, the letter A
- represents the first floppy disk drive, and the letter C
- represents the first hard (fixed) disk drive.
-
- DIRECTORY NAME:
- Enter the directory name for the disk directory where the
- file will be located. The name can be any directory or
- subdirectory name that has been created on the disk drive.
- Precede the directory and subdirectory name with the
- backslash (\) character. Refer to your DOS manual if you
- are not familiar with disk directories.
-
- NOTE - The directory name you enter must already exist on
- the disk. You can't create a directory from within the
- CheckBook Plus program. If you want to create a new
- directory, you must first exit CheckBook Plus, use the DOS
- Make Directory ("MD") command to create a new directory,
- then restart CheckBook Plus and enter the directory name you
- created.
-
- Press the Enter key when you have the file name, disk drive
- letter, and directory typed in and are ready to continue.
-
- After the file name and location have been entered, the Account
- Selection and Setup window will open for you to setup a new
- account or select an existing account to use.
-
-
- 11
-
-
-
-
-
-
- ACCOUNT SELECTION AND SETUP WINDOW
- ----------------------------------
-
- The Account Selection and Setup window lists the Account Name,
- Account ID, Type, and Current Balance for each account setup for
- the file you are currently using. When this window is open, you
- can:
-
- Use Pull-Down Menu Commands to:
-
- COMMAND SHORTCUT KEY
- ----------------------------- ------------
- Add New Account Ctrl+A
- Edit Account Highlighted Ctrl+E
- Delete Account Highlighted Delete Key
-
- Execute command buttons at the bottom of the window to:
-
- Select Account Highlighted
- Close The Account Window
-
- ADDING AN ACCOUNT
- -----------------
-
- To add an Account,
-
- 1. Open the Account Selection and Setup window (if it is
- not already open) by selecting the Account
- Selection/Setup command from the File menu.
-
- 2. Open the Add New Account input window by selecting the
- Add Account command from the File menu (Ctrl+A shortcut
- key).
-
- The Add New Account input window is used to add an account in the
- current file. A brief description of each field follows:
-
- ACCOUNT NAME:
- Enter the name of the account. It can be any unique
- combination of letters or numbers that is meaningful to you.
- For banking accounts, its a good practice to enter the name
- of the bank such as: 1st National Bank; Bank of New York;
- Bank of America; etc. For credit card accounts, you could
- enter the name of the credit card company such as: Master
- Card; Visa Card; Discover Card; Shell Oil Card; etc.
-
- ACCOUNT ID (optional):
- Enter the identification of the account such as the account
- number for banking accounts.
-
-
-
- 12
-
-
-
-
-
- ACCOUNT TYPE (optional):
- Enter the account type such as: Checking; Savings; Credit
- Card; CMA (Cash Management Account); Cash Purchases; etc.
-
-
- INITIAL BALANCE:
- Enter the balance for the account prior to the first
- transaction you will record. For example, if you are
- setting up a checking account and want to begin entering
- transactions dated after December 31, 1990, the Initial
- Balance you should enter would be the ending balance for the
- account as of December 31, 1990.
-
- When you have the account information keyed in, press the Enter
- key to record the account.
-
- To close the Add New Account input window without adding an
- account, press the Escape key.
-
- SELECTING AN ACCOUNT
- --------------------
-
- To select an account to use:
-
- 1. Open the Account Selection and Setup window (if it is
- not already open) by selecting the Account
- Selection/Setup command from the File menu.
-
- 2. Use the keyboard arrow keys or mouse to position the
- Selector Bar to an account.
-
- 3. Execute the <Select Account> command button.
-
- The Register window will open and the transactions for the
- selected account, if any, will be retrieved from disk and
- displayed in the Register window.
-
- EDITING AN ACCOUNT
- ------------------
-
- You can edit the Name, ID, Type, and Initial Balance for an
- account. If the Account Name is changed, all information related
- to the account (transactions, categories, etc) will be updated to
- reflect the new account name. If the Initial Balance is changed,
- the current balance for the account will be updated.
-
- To edit an account:
-
- 1. Open the Account Selection and Setup window (if it is
- not already open) by selecting the Account
- Selection/Setup command from the File menu.
-
-
- 13
-
-
-
-
-
- 2. Position the Selector Bar to the account to edit.
-
- 3. Open the Edit Account input window by selecting the
- Edit Account command from Edit menu (Ctrl+E shortcut
- key).
-
- The Edit Account input window is used to change information for
- an account that was previously setup.
-
- To change the account information, type in the new information in
- the Name, ID, Type, or Initial Balance fields.
-
- To record the changes, press the Enter key, or to close the Edit
- Account input window without changing the account information,
- press the Escape key.
-
- DELETING AN ACCOUNT
- -------------------
-
- Deleting an account permanently deletes all information for the
- account including all transactions, categories, and budgets.
-
- ----------------------------------------------------------------
- ONCE AN ACCOUNT IS DELETED, THE INFORMATION CAN'T BE RECOVERED,
- SO BE SURE YOU WANT TO DELETE THE ACCOUNT BEFORE DOING SO.
- ----------------------------------------------------------------
-
- To delete an account:
-
- 1. Open the Account Selection and Setup window (if it is
- not already open) by selecting the Account
- Selection/Setup command from the File menu.
-
- 2. Position the Selector Bar to the account to delete.
-
- 3. Select the Delete Account command either by pressing
- the keyboard Delete key or by selecting the Delete
- Account command from the Delete menu.
-
- A dialog box will open for you to confirm the deletion. If
- you execute the <Delete> command button in the dialog box,
- the account, and all related information for the account,
- will be deleted from disk. Execute the <Cancel> command
- button to cancel the Delete Account command.
-
-
-
-
-
-
-
-
-
- 14
-
-
-
-
-
- RECALCULATING ACCOUNT BALANCE
- -----------------------------
-
- As you record, edit, or delete transaction information, CheckBook
- Plus updates the balances for the account you are working with
- including the values for uncleared transactions. In the event
- that a disk write error occurs when the balances are being saved
- on disk, the balances for the account could become corrupted. If
- you suspect the account balance is incorrect, you may recalculate
- the balances by following the steps outlined below:
-
- 1. Open the Register window for the account.
-
- 2. Select the Recalculate Account Balances command from
- the Actions menu.
-
- A message will be displayed notifying you that the balances are
- being recalculated.
-
-
-
-
-
-
-
-
-
-
-
-
-
-
-
-
-
-
-
-
-
-
-
-
-
-
-
-
-
-
-
-
-
-
-
- 15
-
-
-
-
-
- Chapter 5 - USING THE REGISTER
- ------------------------------
-
- Each time you start CheckBook Plus (after the initial startup),
- the Register window is the first window to appear.
-
- The Register window works just like your paper checkbook
- register. It lists the payments and deposits you have recorded,
- and the running balance for the account (optionally, you can
- choose to show the transaction category).
-
- The account name, account type, and file name are listed in the
- upper area of the Register window, and the current balance for
- the account is shown in the lower center area of the window.
-
- When the Register window is open you can:
-
- Use Pull-Down Menu Commands to:
-
- COMMAND SHORTCUT KEY
- ----------------------------- ------------
- Record Check/Debit Ctrl+C
- Record Deposit/Credit Ctrl+D
- Edit Transaction Highlighted Ctrl+E
- Delete Transaction Highlighted Delete Key
- Memorize Transaction Highlighted Ctrl+M
- Recall Memorized Transaction Ctrl+R
- Find Transaction Ctrl+F
- Next Find Ctrl+N
- Goto Date Ctrl+G
-
- Execute the command buttons at the bottom of the window to:
-
- Work With Categories
- Exit CheckBook Plus
-
- These commands are discussed in more detail in the following
- sections.
-
- RECORDING TRANSACTIONS IN THE REGISTER
- --------------------------------------
-
- Recording transactions in the register is as easy as filling out
- paper checks and deposit tickets. You simply tell CheckBook Plus
- that you want to record a transaction, and an input window will
- open for you to type in the payment or deposit information. The
- input windows look like the paper checks and deposit tickets you
- are familiar with.
-
-
-
-
-
- 16
-
-
-
-
-
- To record a Check, Debit, or other transaction which reduces the
- account balance:
-
- 1. Open the Record Payment/Debit input window by selecting
- the Add Check/Debit command from the File menu (Ctrl+C
- shortcut key).
-
- 2. Type in the transaction information in the input
- window.
-
- To record a Deposit, Credit or other transaction which increases
- the account balance:
-
- 1. Open the Record Deposit/Credit input window by
- selecting the Add Deposit/Credit command from the File
- menu (Ctrl+D shortcut key).
-
- 2. Type in the transaction information.
-
- The fields in a transaction input window are described below:
-
- NUMBER:
- This field is used to number transactions. The next
- transaction number is automatically inserted in this field
- after a number is entered and recorded the first time.
-
- The number field is optional. If the transaction you are
- entering does not have a number (such as deposits, bank
- debits, service charges, etc.), delete the number from the
- field.
-
- DATE:
- The date field is used to enter the date of the transaction.
- The format for the date field is "mm-dd-yyyy". The first
- (2) positions are for the month, the next (2) positions are
- for the day, and the last (4) positions are for the year.
- The last date entered is automatically inserted in this
- field. To change the date, enter the new date over the date
- shown.
-
- PAY TO (payments) or SOURCE OF FUNDS (deposits):
- Enter the payee's name (for a payment) or the description of
- the transaction.
-
- AMOUNT ($):
- Enter the amount of the transaction. This field has two (2)
- assumed decimal places, and the decimal point need not be
- entered. When the cursor is in this field, it is positioned
- to the right-most number position. Numbers are entered and
- deleted from this position. If you make a mistake entering
- the amount, use the Delete key to delete the amount and re-
- enter the correct amount.
-
- 17
-
-
-
-
-
- CATEGORY:
- The category field is used as a basis for summarizing and
- tracking income and payment transactions. Every transaction
- must include a category. The category can be any
- combination of words, numbers, or characters that is
- meaningful to you. Checkbook Plus contains a list of
- standard categories. You may select one of these, or enter
- a category of your own choosing.
-
- As transactions are entered, the category field is checked
- to verify that the category name is valid. If the category
- has not been setup, a dialog box will open notifying you of
- that fact and giving you the options to either:
-
- 1. Add the category to the category list.
-
- 2. Record the transaction to the 'Other' category.
-
- 3. Select a category from the category list.
-
- Use the Tab key to highlight the desired option, then
- press the Enter key.
-
- You may select a category from the category list any time a
- transaction input window is open. To do so:
-
- 1. Open the Select Category window by selecting the
- Select Category command from the File menu (F5
- shortcut key).
-
- 2. Position the Selector Bar to a category either by
- pressing the letter key that corresponds to the
- first letter in the Category column or by using
- the keyboard cursor movement keys.
-
- 3. Execute the <Select> command button.
-
- MEMO:
- The Memo field is used to enter descriptive information for
- a transaction. This field is optional.
-
- When you have the information keyed in the input window, press
- Enter key to record the transaction. The transaction will be
- inserted in the register in the proper date sequence.
-
- To close the input window without recording the transaction,
- press the Escape Key.
-
-
-
-
-
-
- 18
-
-
-
-
-
- EDITING A TRANSACTION IN THE REGISTER
- -------------------------------------
-
- To edit a transaction in the Register:
-
- 1. Position the Selector Bar to the transaction.
-
- 2. Open the Edit Transaction input window by selecting the
- Edit Transaction command from the Edit Menu (Ctrl+E
- shortcut key) or by clicking the left mouse button on
- the transaction.
-
- 3. Change the transaction information in the input window.
-
- The Edit Transaction input window is used to change the
- information for a transaction that was previously recorded.
-
- To change the transaction information, type in the new
- information in the fields in the window.
-
- To record the changes, press the Enter key, or to close the Edit
- Transaction input window without changing the transaction
- information, press the Escape key.
-
- DELETING A TRANSACTION IN THE REGISTER
- --------------------------------------
-
- To delete a transaction in the Register:
-
- 1. Position the Selector Bar to the transaction.
-
- 2. Select the Delete Transaction command from the Delete
- menu or press the keyboard Delete key.
-
- A dialog box will be displayed prompting you to confirm the
- deletion. If you execute the <Yes> command button, the
- transaction will be deleted and the account balance will be
- adjusted by the amount of the transaction. If you execute
- the <No> command button, the Delete command will be
- canceled.
-
-
-
-
-
-
-
-
-
-
-
-
-
- 19
-
-
-
-
-
- SEARCHING FOR TEXT IN TRANSACTION(S)
- ------------------------------------
-
- The Search menu allows you to find specific text in any field in
- transactions previously recorded. The Search menu contains three
- (3) commands:
-
- 1. The Find command
-
- 2. The Next Find command
-
- 3. The Goto Date command
-
- USING THE FIND COMMAND
- ----------------------
-
- The Find command is used to search for text in a field in one or
- more transactions. To use the Find command:
-
- 1. Open the Find Transaction input window by selecting the
- Find command from the Search menu (Ctrl+F shortcut
- key).
-
- 2. Type in the search information in the input window.
-
- The Find Transaction input window is used to enter information to
- search for in one or more transactions. Type in the information
- you want to find in one of the fields in the window.
-
- NUMBER:
- Enter specific number for a transaction to search for.
-
- PAYEE/DESCRIPTION:
- Enter the Payee or Description text to search for.
-
- AMOUNT:
- Enter the specific amount to search for.
-
- CATEGORY:
- Enter the Category text to search for.
-
- MEMO:
- Enter the Memo text to search for.
-
- Note: the search text you enter in the Payee/Description field,
- Category field, or Memo field need not be complete contents of
- the field in the transactions. For example, if you would like to
- find payments to doctors, you could enter the search text 'Dr' in
- the Payee/Description field. CheckBook Plus would search for
- transaction that include the characters 'Dr' in the
- Payee/Description field.
-
-
- 20
-
-
-
-
-
- When you are ready to start the search, press the Enter key.
-
- The search will begin with the transaction following the
- transaction displayed on the last line of the register and
- continue until a transaction is found that matches the search
- text in the field or until no match is found.
-
- To close the Find Transaction input window, without searching,
- press the Escape key.
-
- USING THE NEXT FIND COMMAND
- ---------------------------
-
- The Next Find command searches for the next occurrence of the
- text specified in the previous Find command. To use the Next
- Find command, select the Next Find command from the Search menu
- (Ctrl+N shortcut key).
-
- USING THE GOTO DATE COMMAND
- ---------------------------
-
- The Goto Date command allows you to search transactions for a
- specific date. To use the Goto Date command:
-
- 1. Open the Goto Date input window by selecting the Goto
- Date command from the Search menu (Ctrl+G shortcut
- key).
-
- 2. Type in the date to go to in the input window.
-
- The Goto Date input window is used to enter the date for the
- transaction you want to go to. The format for the date field is
- "mm-dd-yyyy". The first (2) positions are for the month, the
- next (2) positions are for the day, and the last (4) positions
- are for the year.
-
- Enter the date you want to go to in the window then press the
- Enter key.
-
- To close the Goto Date input window, press the Escape key.
-
-
-
-
-
-
-
-
-
-
-
-
-
- 21
-
-
-
-
-
- PRINTING THE REGISTER
- ---------------------
-
- The Register Report lists the transactions and running balance
- for a specified date range for the current account and
- optionally, the Category and Memo fields for each transaction.
-
- To print the register:
-
- 1. Open the Print Register input window by selecting the
- Print Register command from the Print menu.
-
- 2. Type in the information in the input window.
-
- The Print Register input window is used to identify the
- information you want to appear on the report. A description of
- each field follows:
-
- DATE RANGE:
- Enter the beginning and ending date range for the
- transactions to be included on the report.
-
- PRINT CATEGORY AND MEMO?:
- Type Y (for yes) in the Print Category and Memo field if you
- want these fields to appear on the report, otherwise, type N
- (for no).
-
- SORT TRANSACTIONS BY DATE/NUMBER?:
- Type D (for Date) in the Sort Transactions By Date/Number
- field if you want the report sorted by transaction date, or
- type N (for Number) if you want the report sorted by
- transaction number.
-
- Press the Enter key when you are ready to print the report.
-
- To close the Print Register input window without printing the
- report, press the Escape key.
-
- CHECK PRINTING
- --------------
-
- Any payment transaction entered in the register may be printed on
- a check form.
-
- To print a check:
-
- 1. Position the Selector Bar to the check to print.
-
- 2. Select the Print Check Highlighted command from the
- Print menu.
-
-
-
- 22
-
-
-
-
-
- If the printed fields on the check are not in the proper print
- positions, you will need to change the printed check layout for
- your check form or change the printer control codes for your
- printer. Refer to chapter 12 for information on changing the
- check layout or the printer codes.
-
- EXPORTING THE REGISTER
- ----------------------
-
- The transactions and category totals for an account may be
- exported to a separate file. The information in the exported
- file may then be used by spread sheet, word processor, or other
- software programs.
-
- To export the register:
-
- 1. With the Register window open, open the Export Register
- input window by selecting the Export Register command
- from the File menu.
-
- 2. Type in the information in the input window.
-
- The Export Register input window is used to enter the file name
- and disk location for the export file and to designate the file
- format and information to be exported. Below is a description of
- each field:
-
- FILE NAME:
- Enter the name for the export file. The name can be any
- combination of letters or numbers up to 8 characters.
-
- DISK DRIVE:
- Enter the letter for the disk drive where the export file
- will be located. On most MSDOS or PCDOS systems, the letter
- A represents the first floppy disk drive, and the letter C
- represents the first hard (fixed) disk drive.
-
- DIRECTORY NAME:
- Enter the name for the disk directory where the file will be
- located. The name can be any directory or subdirectory name
- that has been created on the disk drive. Precede the
- directory and subdirectory name with the backslash (\)
- character. Refer to your DOS manual if you are not familiar
- with disk directories.
-
- NOTE - The directory name you enter must already exist on
- the disk. You can't create a directory from within the
- CheckBook Plus program. If you want to create a new
- directory, you must first exit CheckBook Plus, use the DOS
- Make Directory ("MD") command to create a new directory,
- then restart CheckBook Plus and enter the directory name you
- created.
-
- 23
-
-
-
-
-
- FILE TYPE:
- To create a standard text file which can be used with word
- processors or text editors, enter T (for text). To create a
- Lotus 1-2-3 PRN file which can be imported by most spread
- sheet programs, enter L (for Lotus).
-
- EXPORT TRANSACTIONS (Y/N):
- Type Y (for yes) to export transactions, or type N (for no)
- if the transactions are not to be exported.
-
- DATE RANGE:
- If you typed Y (for yes) in the Export Transactions field
- above, enter the beginning and ending dates for the
- transactions to be exported. Otherwise, these dates are
- ignored.
-
- EXPORT CATEGORY TOTALS:
- Type Y (for yes) to export monthly and year-to-date category
- totals for the register, or type N (for no) if the category
- total information is not to be exported.
-
- FOR YEAR:
- Type in the year for the category totals to be exported
- unless you typed N (for no) in the Export Category Totals
- field above, in which case the year is ignored.
-
- NOTE the year you enter does not have to be the current
- year. You can export category totals for any year inwhich
- this information is stored.
-
- Press the Enter key to begin the export process, or press the
- Escape key to close the input window without exporting.
-
-
-
-
-
-
-
-
-
-
-
-
-
-
-
-
-
-
-
-
-
- 24
-
-
-
-
-
- Chapter 6 - USING CATEGORIES
- ----------------------------
-
- One of the most useful features of CheckBook Plus is the ability
- to categorize your income and payment transactions, and display
- or print transaction summaries by category. As transactions are
- recorded, a category name is entered for each transaction. The
- category name is used as a basis for summarizing the transaction
- amounts into totals by category.
-
- Category names can be any combination of words, numbers, or
- characters. Each time a new account is created, a predefined
- list of categories is automatically created for the account. You
- can delete any categories you don't need, change the names, or
- add your own categories. Since the category names are unique to
- an account, you can customize the categories to each of your
- accounts.
-
- Categories are classified as either income or payments. Income
- categories are for transactions that increase the account balance
- such as salary and wages, or interest income. Payment categories
- are for transactions that reduce the account balance such as
- groceries, clothing, or utilities.
-
- Accountants would refer to the list of categories as a chart of
- accounts.
-
- WORKING WITH CATEGORIES
- -----------------------
-
- You can work with your categories or display category totals for
- a particular year by executing the <Work With Categories> command
- button located at the bottom of the Register window. This
- command opens the Category Totals window.
-
- CATEGORY TOTALS WINDOW
- ----------------------
-
- The Category Totals window lists the category names, actual
- category totals, category budget totals, and category types
- (income or payment) for the current account. The categories are
- listed alphabetically. Income categories are listed first,
- followed by payment categories. The actual and budget amounts
- listed represent the totals of the transactions for each category
- for the calendar year shown in the upper center area of the
- window. The calendar year is determined by the transaction date
- for the transaction listed at the bottom of the register when the
- <Work With Categories> command button is executed.
-
- When the Category Totals window is open, you can:
-
-
-
- 25
-
-
-
-
-
- Use Pull-Down Menu Commands to:
-
- COMMAND SHORTCUT KEY
- ----------------------------- ------------
- Add A New Category Ctrl+A
- Edit Category Highlighted Ctrl+E
- Delete Category Highlighted Delete Key
- Work With Budget For Category
- Highlighted Ctrl+B
-
- Execute the command buttons at the bottom of the window to:
-
- Display Monthly Totals For Category Highlighted
- View/Print Transactions For Category Highlighted
- Close Category Totals window
-
- DISPLAYING MONTHLY TOTALS FOR A CATEGORY
- ----------------------------------------
-
- To display monthly actual, budget, and variance from budget
- summary amounts for a category:
-
- 1. Open the Category Totals window (if it is now already
- open) by executing the <Work With Categories> command
- button located at the bottom of the Register window.
-
- 2. Position the Selector Bar to a category.
-
- 3. Open the Category Monthly Detail window by executing
- the <Show Monthly Totals> command button located at the
- bottom of the Category Totals window.
-
- The Category Monthly Detail window lists the category in the
- upper left area of the window and summary monthly amounts for
- actual, budget, and variance from budget for the current and
- prior year as follows:
-
- The monthly amounts listed in the Actual column represent
- the totals of the transactions for the category for the
- current account.
-
- The monthly amounts listed in the Budget column are the
- budget amounts setup for the category.
-
- The monthly amounts listed in the Variance column are
- calculated by subtracting the budget amounts from the actual
- amounts. A positive amount indicates an over budget
- condition. A negative amount indicates an under budget
- condition.
-
- Use the PgDn (page down) key to display the information for the
- next year, the PgUp (page up) key to display the information for
-
- 26
-
-
-
-
-
- the prior year, or the Home key to display the information for
- the current year.
-
- To print the report, execute the Print command button.
-
- Press the Escape key to close the window.
-
- VIEWING TRANSACTIONS FOR A CATEGORY
- -----------------------------------
-
- To display, then print, the transactions for a category:
-
- 1. Open the Category Totals window (if it is now already
- open) by executing the <Work With Categories> command
- button located at the bottom of the Register window.
-
- 2. Position the Selector Bar to a category.
-
- 3. Open the Transactions Listing window by executing the
- <View Transactions> command button.
-
- To print the transaction listing, execute the <Print> command
- button located at the bottom of the window.
-
- ADDING A NEW CATEGORY
- ---------------------
-
- To add a new category:
-
- 1. Open the Category Totals window (if it is now already
- open) by executing the <Work With Categories> command
- button located at the bottom of the Register window.
-
- 2. Open the Add New Category input window by selecting the
- Add Category command from the File menu (Ctrl+A
- shortcut key).
-
- The Add New Category input window is used to enter the name for a
- new category and the category type. Below is a description of
- each field:
-
- CATEGORY:
- Enter the name for the category. Category names can be any
- combination of words, numbers, or characters. Certain
- reports sort categories alphabetically, so if you want
- related categories to appear together on reports, use
- category names that will sort together. For example, if you
- wanted to enter categories for different types of medical
- expenses, you could use category names such as Medical-
- Doctor, Medical-Dental, and Medical-Drugs. These categories
- would appear together on reports since they all begin with
- the word Medical.
-
- 27
-
-
-
-
-
- INCOME OR PAYMENT (I/P):
- Enter either I (income category) or P (payment category).
-
- When you have the information keyed in, press the Enter key to
- record the new category. The new category will be inserted
- alphabetically in the Category Totals window. To close the input
- window without adding a category, press the Escape key.
-
- CHANGING A CATEGORY NAME
- ------------------------
-
- To Change a category name:
-
- 1. Open the Category Totals window (if it is now already
- open) by activating the <Work With Categories> command
- button located at the bottom of the Register window.
-
- 2. Position the Selector Bar to the category to change.
-
- 3. Open the Edit Category Name input window by selecting
- the Edit Category Name command from the Edit menu
- (Ctrl+E shortcut key).
-
- 4. Change the name in the input window.
-
- The Edit Category Name input window is used to change a category
- name.
-
- To change the name, type in the new name in the window.
-
- When you are ready to record the new name, press the Enter key.
- Each transaction that was coded to the old category name will be
- updated to the new name. The new category name will replace the
- old name and will be listed alphabetically in the window.
-
- To close the input window without changing the category name,
- press the Escape key.
-
- DELETING A CATEGORY
- -------------------
-
- You can delete any category in the Category Totals window that
- does not have transactions coded to it. To delete a category:
-
- 1. Open the Category Totals window (if it is not already
- open) by activating the <Work With Categories> command
- button located at the bottom of the Register window.
-
- 2. Position the Selector Bar to the category to delete.
-
- 3. Select the Delete Category command from the Delete
- menu, or press the keyboard Delete key.
-
- 28
-
-
-
-
-
- A dialog box will open prompting you to confirm the
- deletion. If you execute the <Yes> command button, the
- category will be deleted. If you execute the <No>
- command button, the Delete command will be canceled.
-
- BUDGETING A CATEGORY
- --------------------
-
- You can enter a budget for your categories and view or print the
- budget amounts to see how you are doing relative to your
- financial goals.
-
- The Work With Budget command is used to add or change the budget
- for a category. To work with the budget for a category:
-
- 1. Open the Category Totals window (if it is not already
- open) by activating the <Work with Categories> command
- button at the bottom of the Register window.
-
- 2. Position the Selector Bar to the category to budget.
-
- 3. Open the Budget input window by selecting the Work With
- Budget command from the Actions menu (Ctrl+B shortcut
- key).
-
- The Budget input window shows the category name in the upper
- center area of the window, a field for entering the year in the
- upper left area of the window, and fields for entering monthly
- budget amounts for the months of January through December. The
- fields in the Budget input window described below:
-
- YEAR:
- Type in the year that the monthly budget amounts pertain to.
- You can enter a budget for the current year, a prior year,
- or a future year.
-
- BUDGET AMOUNTS:
- Type in the monthly budget amount(s). You can enter an
- amount for any specific month(s) or for all months. If
- budget amounts were previously setup for the category, the
- amounts will be listed in the input window. To change the
- amounts, delete the old amounts, and type in the new
- amounts.
-
- Press the Enter key to record the budget for the category.
-
- Press the Escape key to close the input window without recording
- the budget.
-
- After a budget has been setup or changed, it can be reviewed by
- activating the <Show Category Detail> command button located at
- the bottom of the Category Totals window.
-
- 29
-
-
-
-
-
- Chapter 7 - USING MEMORIZED TRANSACTIONS
- ----------------------------------------
-
- CheckBook Plus allows you to memorize your frequently used
- transactions. You only need to enter a repeated transaction
- once, memorize it, then recall the memorized transaction the next
- time you need to record it. This feature will not only save you
- time, it will also enhance the accuracy and consistency of your
- transactions. Examples of repeated transactions that you may
- want to memorize include:
-
- - Payments to your grocery store
- - Mortgage or rent payments
- - Utility and phone bills
- - Car payments
-
- Memorized transactions are maintained for each account, not for
- the entire file, so you will not have memorized transactions that
- are unrelated to an account.
-
- MEMORIZING A TRANSACTION
- ------------------------
-
- You may memorize any transaction that appears in the Register
- window. To memorize a transaction:
-
- 1. Position the Selector Bar to the transaction.
-
- 2. Select the Memorize Transaction command from the File
- menu (Ctrl+M shortcut).
-
- The memorized transaction is added to the memorized list and
- may be recalled the next time you need to enter the
- transaction.
-
- MEMORIZED TRANSACTIONS WINDOW
- -----------------------------
-
- The Memorized Transactions window lists the Payee/Description,
- Amount, Category, and Type (Income or Payment) for the
- transactions that have been memorized or added directly in the
- window. When the Memorized Transactions window is open, you can:
-
- Use Pull-Down Menu Commands to:
-
- COMMAND SHORTCUT KEY
- ----------------------------- ------------
- Add A Memorized Transaction Ctrl+A
- Edit Highlighted Transaction Ctrl+E
- Delete Highlighted Transaction Delete Key
-
-
-
- 30
-
-
-
-
-
-
- Execute command buttons at the bottom of the window to:
-
- Recall a memorized transaction
- Close the window
-
- RECALLING A MEMORIZED TRANSACTION
- ---------------------------------
-
- You may recall a memorized transaction any time the Register
- window is open. To recall a memorized transaction:
-
- 1. Open the Memorized Transaction window by selecting the
- Recall Transaction command from the File menu (Ctrl+R
- shortcut key).
-
- 2. Position the Selector Bar to a transaction either by
- using keyboard arrow keys or by pressing the letter key
- that corresponds to the first letter in the
- Payee/Description column.
-
- 3. Execute the <Recall Transaction> command button.
-
- The appropriate input window for the transaction type (payment or
- deposit) will open and the transaction will be displayed in the
- window. You can change the transaction information in the window
- if necessary.
-
- To record the transaction in the Register, press the Enter key.
-
- To close the input window without recording the transaction,
- press the Escape key.
-
- ADDING A MEMORIZED TRANSACTION
- ------------------------------
-
- You can add a transaction into the Memorized Transaction window
- without first recording the transaction in the Register. To do
- this:
-
- 1. Open the Memorized Transaction window by selecting the
- Recall Transaction command from the File menu (Ctrl+R
- shortcut key).
-
- 2. Open the Add Memorized Transaction input window by
- selecting the Add Transaction command from the File
- menu (Ctrl+A shortcut key).
-
- The Add Memorized Transaction input window is used to add a
- transactions in the Memorized Transaction window. Below is a
- description of each field:
-
-
- 31
-
-
-
-
-
- DESCRIPTION/PAYEE:
- Enter the description of the transaction or the payee's name
- (for a payment).
-
- AMOUNT ($):
- Enter the amount of the transaction. The field has two (2)
- assumed decimal places, and the decimal point need not be
- entered. When the cursor is in this field, it is positioned
- to the right-most number position. Numbers are entered and
- deleted from this position. If you make a mistake entering
- the amount, use the Delete key to delete the amount and re-
- enter the correct amount.
-
- CATEGORY:
- The category field is used as a basis for summarizing and
- tracking income and payment transactions. Every transaction
- must include a category. The category can be any
- combination of words, numbers, or characters that is
- meaningful to you. Unlike when you are entering a
- transaction in the Register, the category field is not
- edited when it is entered in this window.
-
- MEMO:
- The Memo field is used to enter descriptive information for
- a transaction. This field is optional.
-
- INCOME OR PAYMENT (I/P):
- Type either I (for an income transaction) or P (for a
- payment transaction).
-
- When you have finished entering the information in the window,
- press the Enter key to record the transaction.
-
- Press the Escape key to close the input window without recording
- the transaction.
-
- EDITING A MEMORIZED TRANSACTION
- -------------------------------
-
- You can edit (change) the transactions you have memorized or
- added into the Memorized Transaction window.
-
- To edit a memorized transaction:
-
- 1. Open the Memorized Transaction window by selecting the
- Recall Transaction command from the File menu (Ctrl+R
- shortcut key).
-
- 2. Position the Selector Bar to a transaction either by
- pressing the letter key that corresponds to the first
- letter in Payee/Description or by using the keyboard
- cursor movement keys.
-
- 32
-
-
-
-
-
- 3. Open the Edit Memorized Transaction input window by
- selecting the Edit Transaction command from the Edit
- menu (Ctrl+E shortcut key).
-
- 4. Change the information in the input window.
-
- The Edit Memorized Transaction input window is used to change the
- information in a memorized transaction.
-
- To change the information, type in the changes to the transaction
- in the window.
-
- Press the Enter key to record the new information.
-
- To close the input window without recording the changes, press
- the Escape key.
-
- DELETING A MEMORIZED TRANSACTION
- --------------------------------
-
- You can delete transactions you have memorized or added into the
- Memorized Transactions window.
-
- To delete a memorized transaction:
-
- 1. Open the Memorized Transaction window by selecting the
- Recall Transaction command from the File menu (Ctrl+R
- shortcut key).
-
- 2. Position the Selector Bar to a transaction either by
- pressing the letter key that corresponds to the first
- letter in Payee/Description or by using the keyboard
- cursor movement keys.
-
- 3. Select the Delete Transaction command either by
- pressing the keyboard Delete key or by selecting the
- command from the Delete menu.
-
- A dialog box will open prompting you to confirm the
- deletion. Execute the <Yes> command button to delete the
- transaction, or execute the <No> command button to cancel
- the Delete command.
-
-
-
-
-
-
-
-
-
-
-
- 33
-
-
-
-
-
- Chapter 8 - VIEWING ACCOUNT, SYSTEM INFORMATION, AND TIME
- ---------------------------------------------------------
-
- The View menu is used to view (display) summary information for
- an account, view information about the computer's hardware
- configuration and conventional memory and disk space utilization,
- or view the time.
-
- VIEW ACCOUNT SUMMARY
- --------------------
-
- To view the account summary, open the Account Summary window by
- selecting the Account Summary command from the View menu.
-
- Note: if the Account window is open when the View Summary
- command is selected, the information displayed in the
- Account Summary window will pertain to the account the
- Selector Bar is on. If any other window is open, the
- information will pertain to the current account.
-
- VIEW SYSTEM INFORMATION
- -----------------------
-
- To view system information, open the System Information window by
- selecting the View System Information command from the View menu.
-
- VIEW TIME
- ---------
-
- To view the time of day, open the Time window by selecting the
- Time command from the View menu.
-
- Note: the time displayed is the current time for your system
- clock. Refer to your DOS manual (Time command) for
- instructions to reset the clock.
-
-
-
-
-
-
-
-
-
-
-
-
-
-
-
-
-
-
- 34
-
-
-
-
-
- Chapter 9 - CASHFLOW AND INCOME STATEMENT REPORTS
- -------------------------------------------------
-
- The Cashflow Statement lists a summary of cash inflows and cash
- outflows by category. The Income Statement lists a summary of
- income and expenses (payments) by category. You can customize
- either report to:
-
- 1. Use the transactions for a specified date range.
-
- 2. Use information for the current account or for all
- accounts in the current file.
-
- 3. Show budget and budget variance amounts.
-
- The selected report is first displayed on the screen, and
- optionally, may be printed. To view/print the reports:
-
- 1. Open the Create Report input window by selecting either
- the View/Print Cashflow command or View/Print Income
- Statement command from the Print menu.
-
- 2. Type in the information in the input window.
-
- The Create Report input window is used to customize the
- information you want to appear on a report. Fill if the fields
- in the window as follows:
-
- DATE RANGE:
- Enter the starting and ending month and year range for the
- transactions to be summarized in the report. The format is
- mm-yyyy. The first two positions are for the month and the
- final four positions are for the year.
-
- SHOW BUDGET ON REPORT?:
- Type Y (for Yes) if you want budget amounts to appear on the
- report, otherwise, type N (for No).
-
- CURRENT/ALL ACCOUNTS?:
- Type C (for Current) if you want only the current account
- information to appear on the report or type A (for All) to
- include the information for all accounts.
-
- Press the Enter key to display the report, or to cancel the print
- command without printing, press the Escape key.
-
- After the report is displayed, it may be printed. To print the
- report, execute the <Print> command button located at the bottom
- of the view window. To close the view window without printing
- the report, press the Escape key.
-
-
-
- 35
-
-
-
-
-
- Chapter 10 - ACCOUNT RECONCILIATION
- -----------------------------------
-
- The reason for reconciling your checking account to the statement
- you receive from the bank, is to catch any errors that may have
- occurred when transactions were entered into Checkbook Plus or
- processed by the bank.
-
- Normally, there is a time lag between the date a check or deposit
- is written and the date the bank processes the transaction. The
- transactions that have been entered into Checkbook Plus, but have
- not been processed by the bank, are known as outstanding
- transactions.
-
- The process of reconciling your checking account involves
- entering the ending account balance from your bank statement and
- marking the transactions that have cleared the bank. Normally,
- CheckBook Plus can reconcile your account in a small fraction of
- the time it would take to manually reconcile the account.
-
- ENTERING THE ENDING ACCOUNT BALANCE
- -----------------------------------
-
- The first step in reconciling your account is entering the ending
- balance from your bank statement in the Record Bank Balance input
- window. To open the window:
-
- Select the Reconcile command from the Actions menu.
-
- The Record Bank Balance input window is used to enter the ending
- balance from your bank statement. Type in the amount then press
- the Enter key to continue with the account reconciliation.
-
- MARKING THE TRANSACTIONS THAT HAVE CLEARED THE BANK
- ---------------------------------------------------
-
- After the bank balance is recorded, the size of the Register
- window will be reduced to allow for the reconciliation summary at
- the bottom of the screen. You are now ready to mark the
- transactions processed by the bank.
-
- To mark the cleared transactions:
-
- 1. Position the Selector Bar to each cleared transaction.
-
- 2. Mark transaction by executing the <Mark Transaction>
- command button. A check mark will appear next to the
- marked transaction and the values in the reconciliation
- summary will be adjusted by the amount of the
- transaction.
-
-
-
- 36
-
-
-
-
-
- If you mark a transaction in error, un-mark the transaction by:
-
- 1. Position the Selector Bar to the transaction.
-
- 2. Un-Mark transaction by executing the <Mark Transaction>
- command button.
-
- If you need to record, edit, or delete transactions while
- reconciling, you may do so in the same manner as you would in the
- Register window.
-
- After all cleared transactions are marked, the unreconciled
- difference should be zero. If not, follow the steps outlined
- below to find the difference:
-
- If the unreconciled difference is a positive value:
-
- 1. Verify that the bank statement ending balance was not
- entered for more than the actual amount.
-
- 2. Review the cleared deposits to verify that they were
- all marked and that a deposit was not entered for less
- than the amount processed by the bank.
-
- 3. Review the checks that you marked to verify that an
- outstanding check was not marked in error or that a
- check was not entered for more than the amount
- processed by the bank.
-
- If the unreconciled difference is a negative value:
-
- 1. Verify that the bank statement ending balance was not
- entered for less than the actual amount.
-
- 2. Review the cleared checks to verify that they were all
- marked and that a check was not entered for less than
- the amount processed by the bank.
-
- 3. Review the deposits that you marked to verify that a
- that an outstanding was not marked in error or that a
- deposit was not entered for more than the amount
- processed by the bank.
-
- MISSING CHECK REPORT
- --------------------
-
- The Missing Check report lists gaps in your transaction number
- sequence. The report is useful to help you spot transactions
- that were not entered.
-
- To print the report, select the View/Print Missimg Check List
- command from the Print menu.
-
- 37
-
-
-
-
-
- RECONCILIATION REPORT
- ---------------------
-
- The Reconciliation report lists the outstanding transactions, and
- a reconciliation summary showing the bank statement balance
- adjusted by the outstanding transactions, the account balance,
- and the unreconciled difference.
-
- To display the report, select the View/Print Reconciliation
- command from the Print menu.
-
- After the report is displayed, it may be printed. To print the
- report, execute the <Print> command button located at the bottom
- of the view window. To close the view window without printing
- the report, press the Escape key.
-
-
-
-
-
-
-
-
-
-
-
-
-
-
-
-
-
-
-
-
-
-
-
-
-
-
-
-
-
-
-
-
-
-
-
-
-
-
- 38
-
-
-
-
-
- Chapter 11 - USING THE POP-UP CALENDAR AND CALCULATORS
- -----------------------------------------------------
-
- This chapter describes how to use the pop-up calendar, desktop
- calculator, and financial calculator.
-
- USING THE POP-UP CALENDAR
- -------------------------
-
- The calendar can be activated from almost anywhere within the
- program.
-
- To open the Calendar window:
-
- Press the F2 function key or select the Calendar command
- from the Actions menu.
-
- Initially, the calendar will show the current month and year with
- the day of the month highlighted.
-
- Use the cursor movement keys to operate the calendar as follows:
-
- Key Displays
- ----- ------------
- Up Arrow Prior Month
- Down Arrow Next Month
- Left Arrow Prior Year
- Right Arrow Next Year
- Home Current Date
-
- The calendar can also be operated with a mouse by clicking the
- mouse on the scroll bars within the Calendar window.
-
- To clear the calendar from the screen, press the Enter key,
- Escape key, or click the mouse on the <Exit Calendar> command
- button or outside the Calendar window.
-
- USING THE POP-UP DESKTOP CALCULATOR
- -----------------------------------
-
- The calculator operates like a standard desk-top calculator. It
- can be activated from almost anywhere within the program.
-
- To open the Desktop Calculator window:
-
- Press the F3 function key or select the Desktop Calculator
- command from the Actions menu.
-
-
-
-
-
-
- 39
-
-
-
-
-
- Use the keys on the numeric keypad or the number keys across the
- top of the keyboard to enter numbers or operators. Always enter
- the number first, then the operation. For example, to calculate
- the total of the numbers 123 plus 456:
-
- 1. Type 123.
-
- 2. Press the + key.
-
- 3. Type 456.
-
- 4. Press the + key.
-
- 5. Press the Enter key.
-
- The key operations are described below:
-
- Operation Press
- -------------- -----
- Addition +
- Subtraction -
- Multiplication *
- Division /
- Total Enter
- Equal =
- Clear C
- Paste P
-
- You can paste a calculated amount from the calculator to a
- numeric field in an input window. To paste a calculated amount,
- press the P key.
-
- To clear the calculator from the screen, press the Escape key, or
- click the mouse outside the calculator window.
-
- USING THE FINANCIAL CALCULATOR
- ------------------------------
-
- You can use the Financial Calculator to perform compound interest
- calculations. It can be activated from almost anywhere within
- the program.
-
- To use the Financial Calculator:
-
- 1. Open the Financial Calculator input window by pressing
- the F4 function key or by selecting the Financial
- Calculator command from the Actions menu.
-
- 2. Type in the loan information in the input window.
-
-
-
-
- 40
-
-
-
-
-
- The Financial Calculator input window is used to enter the values
- to use to perform the calculation. Type in the values in the
- fields in the window leaving the value you want to calculate
- blank:
-
- LOAN AMOUNT:
- Enter the amount of a loan.
-
- ANNUAL PERCENTAGE RATE:
- Enter the annual rate of interest expressed as a percentage.
- For example, 8 3/8 percent would be entered as 8.375, or 21
- 7/8 percent would be entered as 21.875.
-
- PERIODIC PAYMENT:
- Enter the periodic payment amount for principal and
- interest.
-
- NUMBER OF YEARS:
- Enter the number of years of the loan. This is a required
- field and cannot be left blank.
-
- PAYMENTS PER YEAR:
- Enter the number of loan payments per year. The default is
- 12 payments per year, it can be changed to any number you
- want. This is a required field and cannot be left blank.
-
- To calculate the value for the field you leave blank, press the
- Enter key.
-
- LOAN AMORTIZATION SCHEDULE
- --------------------------
- After the loan values have been calculated, you can display and
- print an amortization schedule for the loan. To display the
- amortization schedule, execute the <Show Loan Schedule> command
- button located at the bottom of the Financial Calculator window.
-
- To print the amortization schedule, execute the <Print Report>
- command button at the bottom of the Amortization Schedule window.
-
- Press the Escape key to close the window without printing.
-
-
-
-
-
-
-
-
-
-
-
-
-
- 41
-
-
-
-
-
- Chapter 12 - CHOOSING OPTIONS
- ----------------------------
-
- This chapter describes how you can enter options to customize
- CheckBook Plus to your own needs.
-
- RUNNING BALANCE ON REGISTER OPTION
- ----------------------------------
-
- You have the option of displaying either the running account
- balance or the transaction category in the Register window.
-
- To change the current setting, select the Running Balance On
- Register command from the Options menu. A check mark appears to
- the left of the command in the Options menu when the Running
- Balance option is on.
-
- SOUND OPTION
- ------------
-
- If CheckBook Plus encounters an error or needs additional
- information to carry out an action, a message box is displayed
- followed by an audible beep sound. You can turn the beep sound
- on or off.
-
- To change the current setting, select the Sound command from the
- Options menu. A check mark appears to the left of the command in
- the Options menu when the sound is on.
-
- CHANGE PRINTED CHECK LAYOUT
- ---------------------------
-
- The Change Print Check Layout Command is used to change the print
- positions where information is printed on a check form and to
- select the print pitch to use to print checks.
-
- A simple system of line and column numbers is used to indicate
- where each field is to be printed on the check form. The initial
- configuration is set to use a standard size personal check (6.0
- inches wide by 2.75 inches long). However, you can change the
- printed check layout and print checks on any size check form.
-
- To change the check layout and print pitch:
-
- 1. Open the Change Printed Check Print Positions & Pitch
- input window by selecting the Change Printed Check
- Layout command from the Options menu.
-
- 2. Type in the information in the input window.
-
-
-
-
- 42
-
-
-
-
-
- The Change Printed Check Print Positions & Pitch input window is
- used to change the configuration of the printed check form. Type
- in the check layout information in the window as follows:
-
- LINE NUMBERS:
- Enter the line number where each field is to be printed on
- the check. When printing checks, Checkbook Plus uses half
- line feeds (12 lines per inch) for vertical spacing to
- provide more precise positioning of the fields on the check
- form. A standard sized personal check is approximately 6.0
- inches wide and 2.75 inches long, so there are 33 print
- lines (12 X 2.75) on a standard check. The line numbers you
- need to enter depends on how you load check form(s) into
- your printer and the layout of your check form.
-
- COLUMN NUMBERS:
- Enter the column where each field is to be printed across
- the check. The number of print columns on a check depends
- on the print pitch you select (The Pica pitch prints 10
- characters per inch, the Elite pitch prints 12 characters
- per inch, and the Condensed pitch prints 16.7 characters per
- inch).
-
- Perhaps, the best way to determine the correct line and
- column numbers for the fields is by experimenting with
- printing a check on blank paper, and adjusting the line and
- column numbers until you are satisfied with the results.
-
- CHECK LENGTH:
- Enter the length of your check in inches. If your check is
- 3 1/2 inches long (standard length for a business check),
- you should enter 3.50. This value is used to determine the
- number of blank lines printed before the top of the next
- check form when using continuous form checks.
-
- CHECK WIDTH:
- Enter the width of your check in inches. If your check is 8
- 1/2 inches wide (standard width for a business check), you
- should enter 8.50.
-
- PRINT PITCH:
- Enter P (for Pica), E (for Elite), or C (for Condensed) for
- the print pitch you want.
-
- Press the Enter key when you are ready to save the Print Layout.
-
- Press the Escape key to close the window without changing the
- check layout information.
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- CHANGE PRINTER CONTROL CODES
- ----------------------------
-
- Your printer uses special codes, known as escape codes or escape
- sequence codes, as a way to control the print pitch (pica, elite,
- or condensed) and the distance the paper advances at the end of a
- printed line (line feed). Each printer brand defines it's own
- codes to control these functions. The control codes for your
- printer should be listed in your printer manual.
-
- CheckBook Plus uses printer control codes ONLY when printing
- checks. The control codes are initially set for the IBM-
- Proprinter, since most printers either use, or can emulate, this
- printer mode. You will need to change the control codes ONLY if
- you use the check printing feature and you are unable to get your
- printer to print the print pitch and line feed you want.
-
- To change the control codes:
-
- 1. Open the Change Printer Codes input window by selecting
- the Change Printer Codes command from the Options menu.
-
- 2. Type in the information in the input window.
-
- The Change Printer Codes input window is used to change the
- control codes that are sent to your printer when printing checks.
- Follow the steps outlined below to change the control codes:
-
- 1. Refer to your printer manual to determine the control
- codes you need to enter in the Pica, Elite, Condensed,
- and Half Line Feed fields in the window.
-
- 2. Enter the numeric control codes for each field preceded
- by a backslash (\). For example, you would enter the
- control code sequence: 27 65 6 27 50 as \27\65\6\27\50.
-
- Press the Enter key when you are ready to save the control codes.
-
- Press the Escape key to close the window without changing the
- control codes.
-
- CHANGE DISPLAY COLORS OPTION
- ----------------------------
-
- You can customize the colors for the Top Row Menus, the current
- window open on the screen, or the Desk Top area behind the
- windows.
-
- To change the display colors:
-
- Select the Change Display Colors command from the Options
- Menu. The Color Palette dialog box will open to use to
-
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- select the display area to change and the desired colors.
-
- COLOR PALETTE DIALOG BOX
- ------------------------
-
- The Color Palette dialog box contains the following display color
- area options:
-
- Top Row Menu: the color of the top row pull-down menu.
-
- Foreground: the color of the text in the window.
-
- Background: the window color.
-
- DeskTop: the color outside the Register window.
-
- NOTE: the DeskTop color can be changed only when the
- Register window is open.
-
- To change display colors:
-
- 1. Use the Up or Down Arrow keys to select the option
- corresponding to the display area you want to change,
- or click the left mouse button on a display area
- option. The current color is indicated in the color
- palette.
-
- 2. Use the Left or Right arrow keys to change the color
- for the display area option, or click the left mouse
- button on a color in the color palette. The display
- area color will change.
-
- 3. Execute the <OK> command button to save the display
- color scheme and close the Color Palette dialog box.
-
- To restore the display color scheme to the colors when the Color
- Palette dialog box was opened, execute the <Restore> command
- button.
-
- To close the Color Palette dialog box without changing the
- colors, execute the <Cancel> command button.
-
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- Chapter 13 - BACKING UP YOUR DATA FILE
- --------------------------------------
-
- It's a good practice to frequently backup your data file to a
- diskette to guard against accidental loss of data in the event of
- a hardware or disk media failure. The backup procedure only
- requires a few seconds to complete and could save you many hours
- of re-entering information should your data file become damaged.
- ----------------------------------------------------------------
- YOU WILL NEED A FORMATTED DISKETTE TO BACKUP TO A FLOPPY DRIVE.
- ----------------------------------------------------------------
- It is recommended that you use the Backup command to copy your
- data file to a diskette. However, you can backup to a different
- hard (fixed) disk drive.
-
- The Backup File procedure copies the information for the current
- file you are working with to the backup disk or diskette you
- specify.
-
- To Backup your data file:
-
- 1. Open the Backup Data File input window by selecting the
- Backup File command from the File menu.
-
- 2. Type in the information in the input window.
-
- The Backup Data File input window is used to select the disk
- drive the data file will be backed up to and to specify if the
- data file is to be compressed. These options are described
- below:
-
- DISK DRIVE:
- Enter the letter for the disk drive that the data file will
- be backed up to (destination drive for the file). On most
- MSDOS or PCDOS systems, the letter A represents the first
- floppy disk drive, and the letter C represents the first
- hard (fixed) disk drive.
-
- COMPRESS BACKUP FILE (Y/N):
- Type Y (for yes) to compress the backup file, or type N (for
- no) if the file is not to be compressed. If the compression
- option is selected, only the actual data records in the file
- are copied to the backup disk. The file indexes and any
- file space allocated to deleted records is not copied.
- Therefore, the file size on the backup disk may be
- significantly smaller than the file size on the source disk.
-
- After the information has been entered and the Enter key pressed,
- a backup message will be displayed notifying you that the backup
- is in-process. As the records are copied, a record counter is
- displayed.
-
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- RESTORING DATA FILES
- --------------------
-
- Should your database file become damaged or lost, use the DOS
- COPY command to copy the file from your backup disk. For
- example, the command below will copy your file from a backup disk
- in drive A: to a directory named CBPLUS on drive C:
-
- COPY A:*.MDB C:\CBPLUS <press the Enter key>
-
- Refer to COPY in your DOS documentation if you need help.
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- Chapter 14 - INITIALIZING A NEW YEAR
- ------------------------------------
-
- The Initialize New Year procedure copies the current file intact
- to an archive file you specify, then removes the transactions
- from the current file dated before January 1 of the year you
- specify. Only the transactions are removed from the current
- file. The memorized transactions, categories, and category
- totals are not removed, so you can still view and print
- historical category summary information in the current file after
- you initialize a new year.
-
- You can still work with the information in the archive file
- created by the initialize new year procedure. To use the archive
- file, use the Set Data File command on the File menu to enter the
- name you specified for the archive file and the disk drive and
- directory.
-
- You are not required to initialize a new year. However, you
- could conceivably accumulate so many transactions in your current
- file that the file will not fit on your disk or backup disk.
-
- To Initialize a new year:
-
- 1. With the Register window open, open the Initialize New
- Year input window by selecting the Initialize New Year
- command from the File menu.
-
- 2. Type in the information in the input window.
-
- The Initialize New Year input window is used to enter the file
- name and disk location where your current file will be archived
- (copied to). A description of each field follows:
-
- FILE NAME:
- Enter the name for the archive file that your current file
- will be copied to. The name can be any combination of
- letters or numbers up to 8 characters.
-
- DISK DRIVE:
- Enter the letter for the disk drive where the archive file
- will be located. On most MSDOS or PCDOS systems, the letter
- A represents the first floppy disk drive, and the letter C
- represents the first hard (fixed) disk drive.
-
- DIRECTORY NAME:
- Enter the directory name for the disk directory where the
- file will be located. The name can be any directory or
- subdirectory name that has been created on the disk drive.
- Precede the directory and subdirectory name with the
- backslash (\) character. Refer to your DOS manual if you
- are not familiar with disk directories.
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- NOTE - The directory name you enter must already exist on
- the disk. You can't create a directory from within the
- CheckBook Plus program. If you want to create a new
- directory, you must first exit CheckBook Plus, use the DOS
- Make Directory ("MD") command to create a new directory,
- then restart CheckBook Plus and enter the directory name you
- created.
-
- YEAR:
- Type in the year in the: Remove transactions from current
- file dated before 1-1-yyyy field.
-
- Press the Enter key to begin the archive process.
-
- Press the Escape key to close the input window without archiving.
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- Chapter 15 - IF YOU HAVE A PROBLEM
- ----------------------------------
-
- CheckBook Plus uses dialog boxes to notify you if it is having a
- problem carrying out a command or action. Below is a description
- of the error messages used:
-
- ERROR MESSAGES:
- ---------------
-
- Already On File: A record with the same key as the record you
- are attempting to add is already on the file.
- For example, a duplicate check number, a
- duplicate account name, or a duplicate
- category name.
-
- DataBase Needs This message means your data file has become
- Repair: corrupted. This could result from a power
- failure, or if your computer was turned or
- re-booted while CheckBook Plus was running.
-
- The Database repair utility, ISAMREPR.EXE,
- should fix the problem. Refer to Appendix B
- for information on running the repair
- utility.
-
- Device I/O Error: An input or output error occurred when the
- program was using a device, such as a disk
- drive or printer. Attempts to read or write
- to an unformatted disk will cause the error.
- Make sure the cable(s) to your printer or
- external disk are secure.
-
- Directory Not The directory name you entered is not on the
- Found: disk.
-
- Disk Full: There is insufficient space on the disk to
- store the information. Try deleting any
- unnecessary files from the disk.
-
- Disk Media Error: A physical flaw was detected on the disk
- drive. Try using a different disk or
- reformatting the disk.
-
- Invalid Drive: The disk drive you selected is not a valid
- drive.
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- Out Of Memory: More memory is required than is available to
- run the program or to carry out a command.
- Try unloading memory-resident (TSR) programs
- or device drivers. If you are running the
- program from a DOS shell or menu program, try
- running the program from the DOS command
- line.
-
- Out Of String See out of memory error above.
- Space:
-
- Printer Not Ready: Printer is off line, turned off, or out of
- paper.
-
- Too Many Files: This error normally occurs only if the FILE=
- and/or BUFFERS= parameter(s) in your
- CONFIG.SYS file are set too low. Try re-
- setting these parameters to: FILES=30; and
- BUFFERS=20; then re-start your computer.
- Refer to your DOS documentation if you are
- not familiar with the CONFIG.SYS file.
-
-
- Should you encounter a problem that you are unable to resolve,
- please make a note of the error message and procedure being
- performed when you experienced the problem, and contact us.
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- Appendix A - SHORTCUT KEY LIST
- ------------------------------
-
- With the Register window open:
- ------------------------------
- Command Shortcut Key
- ----------------- ------------
- Add Check/Debit Ctrl+C
- Add Deposit/Credit Ctrl+D
- Memorize Transaction Ctrl+M
- Recall Transaction Ctrl+R
- Edit Transaction Ctrl+E
- Delete Transaction Delete Key
- Find Transaction Ctrl+F
- Next Find Ctrl+N
- Goto Date Ctrl+G
- Select Category F5*
-
- * Available only when Payment or Deposit input window is open.
-
-
- With the Account window open:
- -----------------------------
- Command Shortcut Key
- ----------------- ------------
- Add Account Ctrl+A
- Edit Account Ctrl+E
- Delete Account Delete Key
-
-
- With the Category Totals window open:
- -------------------------------------
- Command Shortcut Key
- ----------------- ------------
- Add Category Ctrl+A
- Edit Category Ctrl+E
- Delete Category Delete Key
- Work With Budget Ctrl+B
-
-
- With the Memorized Transactions window open:
- -------------------------------------------
- Command Shortcut Key
- ----------------- ------------
- Add Transaction Ctrl+A
- Edit Transaction Ctrl+E
- Delete Transaction Delete Key
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- With any window open:
- -------------------------------------------
- Command Shortcut Key
- ----------------- ------------
- Help F1 function key
- Calendar F2 function key
- Desktop Calculator F3 function key
- Financial Calculator F4 function key
- Exit Program Ctrl+X
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- Appendix B - USING ISAMREPR UTILITY
- -----------------------------------
-
- CheckBook Plus uses Microsoft's Indexed Sequential Access Method
- ("ISAM") to create and maintain data files. Data files created
- by CheckBook Plus have a file extension (".MDB"). A stand-alone
- utility (ISAMREPR.EXE) is supplied with the software to repair
- your data files should the need ever arise. Since this utility
- is a stand-alone executable program, it cannot be used from
- within the CheckBook Plus program. You must exit CheckBook Plus
- and execute the programs from the DOS command line.
-
- ISAMREPR UTILITY
- ----------------
-
- Should an abnormal termination occur while CheckBook Plus is
- running, the data file you are working with could become
- corrupted. If you get the error message:
-
- DATABASE INCONSISTENT or DATABASE NEEDS REPAIR
-
- when you start CheckBook Plus, this means that your data file
- needs to be repaired.
-
- The ISAMREPR.EXE utility systematically goes through the file and
- rebuilds the indexes for the information in the file. The repair
- utility cannot recover information for a file on a defective
- disk.
-
- To run the ISAMREPR utility:
-
- 1. Use the DOS Change Directory ("CD") command to make the
- disk directory where ISAMREPR.EXE is located the
- current directory. For example, if ISAMREPR.EXE is
- located in a directory named CBPLUS, at the DOS prompt,
- type the following:
-
- CD \CBPLUS <press the Enter key>
-
- 2. Start the repair utility by typing the utility name
- followed by the <pathname> and <filename> for the data
- file to be repaired. For example, to repair a file
- named HOME located on drive C: in a directory named
- CBPLUS, at the DOS prompt, type the following:
-
- ISAMREPR C:\CBPLUS\HOME <press Enter key>
-
- Upon completion, the repair utility will display the message:
-
- "Repair of database <filename.MDB> completed successfully"
-
- if it is able to repair the data file.
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- 54
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- Appendix C - ISAMPACK UTILITY
- -----------------------------
-
- When information (account, transactions, categories, etc) is
- deleted from CheckBook Plus data files, the size of the file does
- not change. Instead, file space occupied by the deleted
- information is marked and reused as new information is added to
- the file. If a large amount of information is deleted from a
- file, such as when an account is deleted that contained a large
- number of transactions, the file space occupied by deleted
- information can become excessive. The ISAMPACK utility can be
- used to reclaim the file space allocated to deleted information
- and reduce the size of the data file.
-
- In order to keep the CheckBook Plus software on one distribution
- disk, this stand-alone utility is not included. If you need the
- utility, we will be happy to send you a ** FREE ** copy. To
- receive a copy, please send your request, along with a check for
- $5.00 to cover our costs for shipping and handling. Be sure to
- include your address and phone number if they are not on your
- check. ** NOTE ** this utility is automatically supplied when
- you register CheckBook Plus.
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