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- CHARTER SOFTWARE'S
- PC - GENERAL LEDGER
- (Copyright 1984, 1985 Gerald V. Fricke)
-
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- USER SUPPORTED SOFTWARE
-
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-
- This program is being distributed under the `FREEWARE' concept
- developed by Andrew Fluegelman. The idea is that an individual
- or a company using a program and finding it of value will
- compensate the author by voluntarily sending him a nominal fee.
-
- You are encouraged to copy this program and give it to others
- who may have a use for it. The only restriction is that you do
- not change any of the code and that you do not charge anything
- for the programs.
-
- If you are using this program and find that it has value, your
- contribution of $50.00 would be appreciated.
-
- Upon receipt of your contribution, you will be become a
- registered owner of PC - GENERAL LEDGER. This will entitle you
- to a copy of the most recent manual, telephone support, and all
- updates and enhancements as they become available. The
- registered name will appear on the initial screen and at the top
- of various reports.
-
-
-
- NOTE: IF YOU HAVE JUST RECEIVED YOUR REGISTERED COPY AND HAVE
- CREATED DATA WITH SOMEONE ELSE'S COPY OF VERSION 1.3 OR 1.3a AND
- YOU WANT TO SAVE THAT DATA, DO THE FOLLOWING:
-
- 1. If you are working with a floppy disk system, put your
- existing `A' disk in drive A and the registered disk you
- just received in drive B.
-
- 2. At the DOS A> prompt, type COPY B:*.EXE
-
- 3. If you have a hard drive, put the new disk in drive A, and at
- the DOS prompt for your hard disk, type COPY A:*.EXE
-
- 4. Your working disks now have the new programs and are ready to
- go.
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-
- Gerry Fricke
- CHARTER SOFTWARE
- P.O. Box 70
- Monticello, IL 61856
- 217-762-7143
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- PC - GENERAL LEDGER
- Version 1.3a
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- TABLE OF CONTENTS
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- Page
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- Getting Started 1
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- Initialization 2
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- Introduction 4
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- Summary 6
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- Data Entry 6
-
- Chart of Accounts 8
- Add new account 8
- Delete account 9
- Change account name 9
- Print chart of accounts 9
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- Practice Entries 10
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- Enter Transactions 10
- Cash receipts 11
- Check stubs 13
- Journal entries 13
- Recurring journal entries 14
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- Write Checks 15
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- Transaction Register Printouts 16
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- Trial Balance Print-out 17
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- Financial Statements 18
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- Month or Year End Close 18
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- Utilities and Maintenance 19
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- Vendor Maintenance 20
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- Create a DIF file for Lotus 1-2-3 21
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- Page 1
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- GETTING STARTED
-
- THIS MANUAL IS FOR VERSION 1.3a. THE PROGRAMS FOR THIS VERSION
- ARE NOT COMPATIBLE WITH DATA CREATED BY VERSIONS 1.0 THROUGH
- 1.2. If have files created by previous versions and want to
- transfer them to Version 1.3a, send a check for $10.00 for
- instructions and a program for converting files.
-
- PC - GENERAL LEDGER requires either two double sided floppy
- disks or a hard disk system. It will run under either DOS 1.1,
- DOS 2.0 or DOS 2.1. The programs will run on the Compaq and
- other IBM compatible computers. If you are using a floppy
- system the programs and control file are on drive A and the data
- disk is put in drive B. The disk for drive B should not have
- DOS on it so that maximum space is available.
-
- If you have a hard disk, it is suggested that you create a
- separate directory for the programs and then copy the disk you
- received to that directory. Hard disk users, skip to the
- paragraph beginning `Put the disk ..'
-
- If you are working with two floppy drives, the first thing to do
- is to format a disk and put your operating system on it. This is
- normally done by putting your original DOS disk in drive A, an
- unformatted disk in drive B, and typing FORMAT B:/S. Then,
- transfer everything on the disk you received to the working disk
- that you created. This can be done by putting your freshly
- formatted disk in the A drive, the disk you received in the B
- drive, and then typing COPY B:*.* A: and then pressing ENTER.
- The following files and programs are necessary to make PC -
- GENERAL LEDGER function properly and must be on the `A' disk or
- the hard drive.
-
- BASRUN.EXE GLENTRY.EXE
- GLCTRL.FIL GLCHECKS.EXE
- GLMENU.EXE GLTRIAL.EXE
- GLCHART.EXE GLSTATE.EXE
-
- During the initialization part of the program, the proper files
- for the `B' drive are created automatically.
-
- Put the disk you received in a safe place in case that something
- happens to your working disk and you have to start over.
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- If the disk you received has someone else's general ledger data
- already on it, the initialization will remove the data and reset
- the files properly.
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- Page 2
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- In order to start the program type `GLMENU' at the DOS prompt.
- The first thing that you will need to do is to enter the date.
-
- All dates are entered as 6 digits such as 060484. The computer
- will automatically format it to read 06-04-84.
-
- After you have entered the date, the main menu appears:
- Page
- 1 = Enter TRANSACTIONS or WRITE CHECKS 10-15
- 2 = CHART of Accounts or VENDOR Maintenance 8,20
- 3 = Print TRIAL BALANCE 17
- 4 = Print TRANSACTION Registers 16
- 5 = Print FINANCIAL Statements 18
- 6 = Month or Year End CLOSE 18
- 7 = DATE Change
- 8 = UTILITIES or INITIALIZATION 2,19
- 9 = Create a 'DIF' for LOTUS 21
- 10 = END of Session
-
- Choose option 8 from this menu.
-
- INITIALIZATION
-
- The screen you see allows to make changes to some base
- information. For instance, you can type in a second and third
- line, such as address, city and state, etc. that will appear on
- the Statement of Income and Balance Sheet only.
-
- You will then be asked to type in the month that your fiscal
- year ends. (October=10, December=12, etc.)
-
- After that, you have to tailor the programs to your hardware
- system. The next menu looks like this:
-
-
- MONITOR SELECTION:
- 1 = IBM Monochrome
- 2 = OTHER Monochrome
- 3 = COMPOSITE Color
- 4 = RGB Color
- 5 = Compaq
-
- DRIVE SELECTION:
- 6 = 320K Floppy disks
- 7 = 360K Floppy disks
- 8 = HARD Drive
-
- 9 = INITIALIZATION
- 10 = CLEAR All Account Balances
- 11 = MAIN MENU
-
- You will now need to choose which monitor you are using and
- which drive system. After making the selections, select option 9
- to finish the initialization process. This final process sets up
- the necessary accounts and zeros all of the files so that PC -
- GENERAL LEDGER will function properly.
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- Page 3
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- If you have a floppy disk system you will need to have a
- formatted disk (without a system on it) ready for drive B.
-
- The procedure is very simple and the instructions on the screen
- will take you through the necessary steps. You will only need to
- identify which account number and name will be used for the
- account that you make your cash deposits to and the account
- number and name which you write checks on. They can be either
- the same account or different ones.
-
- The program automatically assigns account number 3999 to
- Retained Earnings. You cannot change that number but are free
- to change the description.
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- After the initialization is complete, you will be taken back to
- the Main Menu and you are ready to use PC - GENERAL LEDGER.
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- Page 4
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- INTRODUCTION
-
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- IT IS EXTREMELY IMPORTANT THAT YOU EXIT THE PROGRAM BY SELECTING
- OPTION 10 (END OF SESSION) AT THE MAIN MENU. IF YOU TURN OFF THE
- COMPUTER OR REMOVE THE DISKS AT ANY OTHER TIME, YOU MAY LOSE
- YOUR DATA AND HAVE TO START OVER. BACK UP YOUR DISKS ON AT LEAST
- A DAILY BASIS.
-
- Neither you, your hardware, or the software author are
- infallible. Problems will occur. That's why BACKUPS are so
- important. BACKUP YOUR DISKS ON A REGULAR BASIS. IF FOR ANY
- REASON, YOU GET AN ERROR MESSAGE OR THE PROGRAM STOPS WORKING
- PROPERLY, IT IS IMPORTANT THAT YOU HAVE BACKUPS AVAILABLE SO
- THAT YOU DO NOT HAVE TO START OVER FROM SCRATCH.
-
- This program was written by a financial executive with over 25
- years of experience in all areas of accounting, finance, taxes,
- and general management. The program has all of the controls
- necessary to make sure that everything is kept in balance and
- that a complete audit trail always exists.
-
- This manual and the programs assume that you have a working
- knowledge of bookkeeping, know the difference between debits and
- credits and know how to prepare and post entries.
-
- Charter Software's PC - GENERAL LEDGER is easy to use and we
- have done our best to see that you can't get into trouble.
- However, we can't detect typing errors such as `10.00' when you
- mean `100.00' or `espense' when you mean `expense'.
-
- The programs do provide two important safeguards:
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- 1. All entries must balance. You will not be able to post
- an entry that does not.
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- 2. There is a complete audit trail. Amounts cannot be
- posted to the general ledger until the details have been
- printed out to the printer.
-
- If you are a registered owner, your name is coded as part of the
- program and there is no provision for you to change it. If, for
- some reason you need it changed, send a blank disk and a prepaid
- mailer (or a check for $10) along with the change that you need
- and you'll get a new disk with the change by return mail.
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- Page 5
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- The general ledger system consist of eight working segments:
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- CHART OF ACCOUNTS
- This enables you to add new accounts to the general ledger and
- change the name of an existing account or delete an account.
-
- ENTER TRANSACTIONS
- This is the main part of the general ledger package. You can
- make entries into the cash receipts journal or the general
- journal. You can either print checks on the printer or post
- check stubs to the check register.
-
- PRINT REGISTERS
- This part of the program enables you to print out the entries
- that you have made. After printing out the entries, the trial
- balance and general ledger can be updated.
-
- TRIAL BALANCE
- This will print out the beginning balance, all entries, and the
- ending balance for each account. The program maintains two trial
- balances. One is for the month to date and the other is year to
- date.
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- FINANCIAL STATEMENTS
- This enables you to print out the balance sheet and profit and
- loss statement with month and year to date totals.
-
- MONTH AND YEAR END CLOSE
- This lets you close the books at month and year end in order to
- start the next accounting period. This segment also allows you
- to erase the year to date trial balance if you need additional
- room on your floppy disks to handle current transactions.
-
- UTILITIES AND INITIALIZATION
- Allows you to configure the programs to your particular
- hardware and/or initialize all of the general ledger files.
-
- DIF FILES FOR LOTUS
- You can create files that can be read by Lotus 1-2-3. These
- files can contain the account number, account name, month and
- year to date balance for various accounts. The files created are
- 'DIF' files which Lotus can convert to 'WKS' files which it can
- then bring into its spreadsheet.
-
- If you wish you can print checks on your printer using pre-
- printed customized check forms. The checks are available from
- Colwell Systems, Inc., 201 Kenyon Road, Champaign, IL 61820. The
- checks are catalog number 9045 and should be ordered without pre
- printed check numbers since the program prints the check number
- on the check form. The phone number is 800-248-7000 (Illinois -
- 800-233-7777)
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- Page 6
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- SUMMARY
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- - Daily entries show up on the screen as you make them.
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- - All entries are saved on disk until you print them out and
- update the general ledger.
-
- - When you update the general ledger, the entries are then
- posted to both the month and year to date trial balances.
-
- - Once entries have been made to the trial balance, you can
- print out the trial balances and financial statements.
-
- - The month end close clears the files for the next month's
- entries.
-
- - You can transfer data to a DIF file which can be read by
- Lotus and certain other spreadsheets.
-
- - The program maintains a 'vendor' file. This means that you can
- automatically print names and addresses on checks.
-
- There is nothing sacred about a 'month'. You can close your
- books weekly, quarterly, or annually. This manual assumes that
- you are using a monthly system, but the programs will work with
- any accounting period.
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- DATA ENTRY
-
- The program will accept individual entries up to 9,999,999.99
- and print values up to 99,999,999.99 and supports both upper and
- lower case.
-
- Whenever the computer is waiting for you to type something, the
- cursor will be blinking at the first dot in a row of dots. The
- number of dots indicates the maximum number of characters
- allowed for your input.
-
- When typing numbers, do not have to put in the decimal point
- if it is a round dollar amount. For instance, if you type 10 for
- 10 dollars, the program will automatically format and display it
- as 10.00. Entering 9.5 will result in 9.50. This can save a lot
- of keystrokes. Do not type commas when entering numbers. The
- program, however, will automatically put them in.
-
- If you are entering a negative number, you can put the minus
- sign either before or after the number.
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- Messages about what to enter or how to enter it are normally at
- the bottom of the screen. When in doubt, look for that message
- line.
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- Page 7
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- If you hear a `tone', you have probably typed something wrong
- and the message at the bottom of the screen will tell you what
- to do next.
-
- This is always an `escape route' if you make a mistake. Pressing
- `ENTER' or `ESC' will normally take you back to a point where
- you can recover and start again. Before any significant item
- gets entered or changed, you will get a chance to change your
- mind.
-
- If you are using a floppy disk system, the bottom of the screen
- will show the approximate amount of disk space used on your data
- disk based on the size of the floppy disks you indicated in the
- hardware configuration.
-
- If you are using the IBM monochrome monitor, some words should
- be highlighted. If not, adjust the two knobs on the monitor. If
- you are using a color monitor, some words will be in color.
-
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- IMPORTANT
-
- Make sure that you do not turn off your computer or take out the
- disks in the middle of the program. If you do, you are almost
- certain to lose data. Always go back to the Main Menu and
- choose option 10 (END of session).
-
- Make sure that you back up your working disks on a regular
- basis. If you are using a floppy disk system, it's extremely
- important that you back up both the A and B disks at the same
- time since they are inter-related.
-
- ERRORS
-
- If you run into a programming error, the screen will clear and
- you will get a message telling you the error number and the
- program line in which it occurred. Please let us know if you run
- into any errors and the circumstances.
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- A description of the error messages is in the appendix of your
- BASIC manual.
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- Page 8
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- CHART OF ACCOUNTS
-
- The chart of accounts numbering system has been pre-set as shown
- below. You are limited to 500 different account numbers. You can
- allocate them between the various categories such as assets,
- liabilities, income, etc. however you wish. The chart of
- accounts maintenance menu looks like this:
-
- MAINTENANCE
- Page
- CHART OF ACCOUNTS:
- 1 = Add NEW Account 8
- 2 = DELETE Account 9
- 3 = CHANGE Account Name 9
- 4 = PRINT Chart of Accounts 9
-
- OTHER:
- 5 = VENDOR Maintenance 20
- 6 = RECURRING Entries 14
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- ADD NEW ACCOUNT
-
- The screen for adding new accounts is shown below:
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- Account Number .... Description .......................
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- 1000-1499 Current Asset
- 1500-1699 Fixed Asset
- 1700-1999 Other Asset
- 2000-2499 Current Liability
- 2500-2999 Long Term Liability
- 3000-3999 Equity
- 4000-4999 Revenue
- 5000-5999 Cost of Sales
- 6000-6999 Expenses
- 7000-7999 Other Income/Expense
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- After you enter a new account number, the program checks whether
- or not the number has already been used. If not, the type of
- account is highlighted at the bottom of the screen and you can
- then type in the name of the new account. After that, type `A'
- to accept or `T' to try again. When you are finished adding
- accounts, pressing `ENTER' takes you back to the menu.
-
- You can also add new accounts as you make entries. If you type
- in the number of an account that is not on file, you will get
- the opportunity to add the account at that time. The screen that
- you will see is the same as above.
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- Page 9
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- DELETE ACCOUNT
-
- This option enables you get rid of an account you are no longer
- using. In order to safeguard the system, you can only delete an
- account when:
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- - The month and year to date balances for that account are
- zero.
- and
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- - You have closed the books for the month.
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- and
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- - You have not made any entries to any account in the new
- month.
- and
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- - There are no entries in the year to date trial balance
- for that account.
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- and
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- - The account is not used in a recurring Journal Entry.
-
- When you type in the account number the program checks the
- above. If all the conditions are met, the program then displays
- the account name and asks you confirm that you want to make the
- deletion. Type `D' to delete the account or `N' for no delete.
-
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- CHANGE ACCOUNT NAME
-
- This option lets you change the name of the account in order to
- better describe it or to correct spelling errors.
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- PRINT CHART OF ACCOUNTS
-
- You can display the current chart of accounts on the screen or
- print them on the printer for easy reference. The print out
- shows the account number, description and type of account
- (asset, liability, etc.)
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- Page 10
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- PRACTICE ENTRIES
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- You can set up your complete chart of accounts and make practice
- entries to get familiar with the system. When you are
- comfortable with how every works you can clear all of your
- practice entries and start entering your real data. See page 17.
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- ENTER TRANSACTIONS
-
- The procedure for entering transactions is essentially the same
- whether you are doing cash receipts, posting check stubs or
- journal entries. There are only minor differences in the screen
- layout and how data is entered.
-
- If you are using the program to print checks, you will provide
- the program with the necessary information such as date, check
- number, payee, etc. The program will then ask you to provide the
- necessary accounting information in order to automatically post
- the entry. Entering the accounting data is done in the same
- manner whether you are posting from check stubs or actually
- printing checks.
-
- Each accounting entry is a two step process. First you type in
- the `header' information such as date, description, etc. The
- second part is entering account numbers and amounts. If you make
- a mistake there is a simple procedure to correct or change an
- entry so that you do not have to start over.
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- You can have up to 15 different accounts in a single entry.
-
- Near the bottom of the screen is the `Entry Balance' figure.
- This is updated after every amount is entered and shows how much
- the entry is `out of balance' at that point.
-
- Until you are familiar with the program, the key to making
- entries is to keep an eye on the message line at the bottom of
- the screen. It will prompt you as to what is expected next.
-
- The menu for the transaction program is shown below. You can
- choose to enter cash receipts, checks written, journal
- entries, or write checks.
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- Page
- ENTER TRANSACTIONS:
- 1 = CASH Receipts 11
- 2 = Enter CHECK STUBS 13
- 3 = JOURNAL Entries 13,14
- 4 = WRITE CHECKS 15
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- Page 11
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- CASH RECEIPTS
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- The screen layout for cash receipts looks like this:
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- POST CASH RECEIPTS Last Cash:
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- Date ...... Description ................ Ref:.......
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- Line Acct Account Title Amount
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- Cash Balance: Entry Balance
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- TYPE CASH RECEIPTS DATE (MMDDYY) `ENTER' FOR TODAY'S DATE
- `ESC' WHEN DONE
-
- The program assumes that you have already made a deposit and are
- entering an accounting summary of that deposit.
-
- If your cash receipts and cash disbursements are run through the
- same account number, your present cash balance is in the lower
- left hand corner of the screen. It is automatically updated
- every time you make an entry to that account. It is possible for
- this figure to be incorrect the first month you use the program.
- However, it is automatically reset to the general ledger balance
- at each month end close.
-
- For reference purposes, the last cash receipts date that you
- posted is in the upper right hand corner of the screen.
-
- You can type in the date or press `ENTER' and the date you
- entered on start up will be automatically displayed.
-
- You can type any description you want to describe the entry. You
- also have an eight character reference field if you need it.
- Pressing `ENTER' at either place will create a blank description
- or reference and move you to the next field. Whatever
- information that you type into the header will show on the
- registers when you print them out.
-
- After the reference field, type `A' to accept the header or `T'
- to try again. Once you have accepted the header, it is time to
- enter account numbers and amounts. The entry can be up to 15
- lines.
-
- The cash account number and description is automatically put on
- line 1 and cursor is waiting in the amount column. (Remember,
- you do not have to enter the decimal point if it is a whole
- dollar amount). After you type in the amount, it is formatted
- and displayed and the `Entry Balance' amount is updated.
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- Page 12
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- Then line by line, you finish the accounting distribution. First
- you enter either the account number or up to four letters of the
- account name. If you enter the account number, the program will
- automatically display the account description.
-
- If you type `RENT' the program will search for the first account
- having `RENT' in the description and display the account number
- and account description. If you are looking for `RENT EXPENSE'
- and the first account with `RENT' is `RENTAL INCOME', the
- program will display that one first. However, pressing `ENTER'
- again will find the next account with `RENT' in it. You can
- continue to press `ENTER' until you find the right account or
- reach the end of the account number file.
-
- If you type in an account number and that account is not on
- file, the program will ask you whether you want to add that
- number to the file. The following message will appear at the
- bottom of the screen:
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- NUMBER NOT ON FILE. TYPE 'A' TO ADD 'T' TO TRY AGAIN
-
- If you want to add that number to the chart of accounts, type
- 'A' and you will see the same screen that is used to set up new
- accounts in the Chart of Accounts section of the program. All
- you need to do is type in the description of the account and you
- will be taken back to where you were in the entry. The new
- account has been set up and will be there.
-
- Once you have the proper account, the next step is to enter the
- amount. If it is a simple two line entry, pressing `ENTER' will
- automatically display the offsetting amount from line 1.
- Otherwise, you will have to type in the amount. As you enter
- amounts line by line, the `Entry Balance' amount will be
- updated. When that amount is zero, the entry is in balance and
- the following message is at the bottom of the screen:
-
- TYPE `A' TO ACCEPT (`ENTER' TO MAKE CHANGES)
-
- If you type `A' the entry is recorded on disk, the data is
- cleared from the screen, and you are ready for the next entry.
- (At that point, if you are done with cash receipts, pressing
- `ESC' will take you the menu.)
-
- If you need to make changes to the entry you were working on and
- pressed `ENTER' instead of `A', then you have the opportunity to
- change any of the lines in the entry or to add additional lines.
- This saves having to re-do the entire entry. The program will
- ask you for the line number to be changed. That line will be
- erased and you then enter a new account number and amount. You
- can continue in this manner until you have the changes made and
- the entry balances. At that point, type `A' to accept and move
- on to the next entry.
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- Page 13
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- ENTER CHECK STUBS
-
- This section of the program enables you post from check stubs if
- you are not using the program to actually print checks.
- Transactions are posted here in the same manner as cash receipts
- with minor exceptions. The header is different in that it calls
- for a `check number' instead of a `reference'.
-
- The program will automatically put in the next check number
- (based on the last check number shown in the upper right hand
- corner of the screen) if you press `ENTER' in the Check Number
- field.
-
- Line 1 of the posting section is automatically displayed with
- the cash account number and description. Enter the amount of the
- check as a debit instead of a credit. The program will
- automatically format and display it as negative.
-
- Again, after getting the proper account on line 2, pressing
- `ENTER' when you are in the amount column will automatically put
- in the offsetting amount for line 1.
-
-
-
- JOURNAL ENTRIES
-
- Again, the procedure is essentially the same as cash receipts or
- checks written with minor changes in the header. No account
- number or description is automatically displayed on the line 1.
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- Page 14
-
-
- RECURRING JOURNAL ENTRIES
-
- You have the ability to establish up to 15 entries that you
- expect to be the same each month. These entries are set up only
- once and the program keeps track of them for easy recall and
- posting.
-
- In order to set up recurring entries, choose option 2 from the
- Main Menu and then option 6 from the Chart of Accounts and
- Vendor Maintenance Menu.
-
- The Recurring Journal Entry Menu is as follows:
-
- 1 = Set up NEW Entry
- 2 = DELETE an Entry
- 3 = LIST Entry Descriptions
- 4 = DISPLAY Individual Entry
- 5 = Return to previous MENU
-
- In order to set up a recurring entry, you will first need to
- identify the number to be used (1 through 15) and the
- description of the entry. After that, you identify the account
- numbers and the amount to debited or credited to each account.
- You must balance the entry before the program will save it on
- disk.
-
- Option 2 will allow you to delete an entry that you no longer
- need.
-
- Option 3 will list the descriptions of all the recurring journal
- entries.
-
- Option 4 will display an entry, showing all of the account
- numbers, account names, and posting amounts for that entry.
-
-
- USING RECURRING ENTRIES
-
- In order to post one of the recurring entries, select Journal
- Entries from the main posting menu. For Journal Entry number
- type `RJ' plus the number. For instance, to post recurring
- journal entry number 1, type `RJ1'. The program will
- automatically put the entry on the screen. At this point, the
- entry is the same as any other entry. It can be accepted as is,
- added to, or changed. If you choose a line to change, you will
- only have to change the amount. The account number and account
- name do not need to be changed.
-
- Making changes and/or additions to the entry during the
- posting operation does not change the recurring entry that you
- originally set up.
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- Page 15
-
-
- WRITE CHECKS
-
-
- Using this option enables you to print checks on the computer
- instead of writing them by hand and then making an entry for
- the check stubs. You can mix check stub entries and actual check
- printing without causing any problems.
-
- The program provides for the opportunity of using a vendor file
- for names and addresses of people you write checks to on a
- regular basis. You can have up to 100 vendor names and addresses
- on file at any one time.
-
- When you choose the 'Write Checks' option you will be asked
- whether you want to use the vendor file or not. If you choose
- not to, you will have to type in the name and address of every
- check you write.
-
- If you choose the vendor file option, you have two advantages.
- The name and address can be pulled from the vendor file by
- typing a few letters of the name. For instance, if you have ABC
- Contracting Corporation in the file, you can bring up their name
- and address by typing 'ABC'. If you also have a company called
- ABC Sanitation Service Co., all you have to do is type 'N' and
- the program will find the next match to 'ABC'.
-
- If the name you type is not on file, you will be given the
- opportunity to add it to the file automatically for use the next
- time. You also have the option of just typing in the name and
- address and not adding it to the file.
-
- The program puts a picture of a blank check on the screen and
- all you have to do is `fill in the blanks'. By pressing `ENTER'
- at the date, the `system' date will be entered. Pressing `ENTER'
- at the check number will automatically insert the next check
- number.
-
- If you are using the same account number for receipts and
- disbursements, your present bank balance is shown on the left
- above the check outline. (See page 9 for more details)
-
- After entering the payee, amount, and address, you can put a
- message on the check stub by typing something on the `For' line.
-
- After completing the check form and typing `A' to accept, the
- screen will change so that you can enter the various accounts
- and amounts in order to complete the entry. This segment is the
- same whether you are entering check stubs or actually entering
- checks to be printed.
-
- The program saves all of the checks to be printed so you can
- print them all at once.
-
- You can print a test check to make sure that the check forms are
- lined up properly prior to printing the actual checks.
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- Page 16
-
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- TRANSACTION REGISTER PRINTOUTS
-
- As you make each entry during the course of the month it is
- added to one of the three registers (cash, check or journal
- entry). You can print out any of one of these registers at any
- time in order to check out your work or to make copies for your
- files.
-
- As entries are made they are added to the end of each register.
- If, for instance, you did not make your check stub entries in
- numeric order, you will have the option of having them sorted
- prior to printing. Checks are sorted in check number order, cash
- receipts in date order, and journal entries by journal entry
- number.
-
- After a print-out is finished, the following message is at the
- top of the screen:
-
- TYPE `U' TO UPDATE TRIAL BALANCE AND GENERAL LEDGER AND CLOSE
- THIS REGISTER (`ENTER' TO EXIT).
-
- If you press `U' all of the entries for that register will
- posted to the month and year to date trial balances and the
- general ledger. At the bottom of the print-out a message will
- print indicating that the posting has taken place. The register
- will then be erased from the disk.
-
- You have to decide whether to close the register and update the
- general ledger at the end of any register print-out.
-
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- CONSIDERATIONS
-
- 1. Financial Statements - The trial balance, statement of income,
- and balance sheet will only be updated when the register is
- closed out.
-
- 2. Printed Reports - Closing a register several times during
- the month will mean having your check register, for instance,
- on several pieces of paper rather than on one print-out.
- Closing the register only at month end makes the print-out
- a `complete' one.
-
- 3. Disk Usage - Closing a register frees up disk space. If your
- disk usage exceeds 90%, you should probably close one or more
- registers to be on the safe side. A month end close also
- frees up space. The best way to free-up disk space is to
- erase the year to date trial balance. Choose option 6 from
- the main menu. Be sure that you print out the year to date
- trial balance before you delete it. Erasing the file does not
- change any balances. It just means that you will no longer
- have all entries since the beginning of the year for a single
- account listed in one place.
-
- You can stop any print-out at any time by pressing `ESC'. This
- will not affect any of the data in the computer or on the disk.
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- Page 17
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- TRIAL BALANCE PRINT-OUT
-
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- You have three options on the trial balance:
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- 1. Print out a complete trial balance
- 2. Display or print an individual account.
- 3. Print out a 'Short Form' trial balance.
-
- Note: As indicated before, any entries on a register that is not
- closed out will not be included on the trial balance.
-
- If any registers are open, you will receive a message to that
- effect before the complete trial balance is printed. You will be
- given an opportunity to close the registers if you wish to do
- so.
-
- You will have the option of printing either the month to date or
- year to date trial balance for any account or for all accounts.
-
- The complete trial balance prints the number of the account, its
- name, the beginning balance, all entries posted to that account
- during the month (or year to date), and the ending balance. For
- profit and loss accounts, the year to date ending balance is
- shown also.
-
- The print-out can be stopped at any time by pressing `ESC'. (If
- you are using a print spooler, the printing may not stop until
- the spooler is empty)
-
- The final line on the complete print-out shows a `proof' amount.
- It should show `zero'. However, the BASIC language that was
- used in writing this program will not always do its math
- properly. Any errors that occur are normally less than a penny.
- The point to remember is that if the trial balance and/or
- financial statements are off by a penny or two, it was not
- caused by your entries. It is the fault of the programming
- language and you should not be concerned about it.
-
- You can also look at individual accounts. In this instance, you
- will be given the choice of displaying the account on the screen
- or printing it on the printer.
-
- You can also print out a short form trial balance. This lists
- the account name, account number, month to date balance, and
- year to date balance. No detailed entries are shown.
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- Page 18
-
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- FINANCIAL STATEMENTS
-
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- The balance sheet or statement of income can be printed out at
- any time. It will not include entries on any register that has
- not been closed out.
-
- You will have the choice of having accounts with zero balances
- printed or not.
-
- Again, you can stop the print-out at any time by pressing `ESC'.
-
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- MONTH OR YEAR END CLOSE
-
-
- When all transactions for the month have been posted and all
- registers closed out, and you have made all print-outs that you
- want, you are ready to close the ledger for the month. You will
- not be able to close out if any one of the three registers is
- still open.
-
- The month end close returns all of the monthly profit and loss
- balances to zero, updates all of the year to date totals and
- erases the month to date trial balance detail from the disk.
-
- The year end close is the same except that it also zeros out the
- profit and loss year to date amounts, erases the year to date
- trial balance, and automatically updates retained earnings with
- the annual profit.
-
- The month end/year end close menu also allows you to erase the
- year to date trial balance. This option is mainly for the
- purpose of freeing up disk space. Erasing this trial balance
- does not have any affect on any balances. Make sure that you
- make a copy of the trial balance before you erase it.
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- Page 19
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- UTILITIES AND MAINTENANCE
-
-
- You cannot change the name on your reports. If for some reason
- you need to have a different name printed than the one that the
- program is registered to, send a check for $10.00 along with the
- change that you need and we'll make the change for you. You do
- have the option of changing the second or third line printed on
- your income statement and balance sheet as well as the month
- number of your fiscal year.
-
- The maintenance menu also provides for clearing all of your
- balances without affecting the chart of accounts numbers and
- names or the vendor file. This option is handy in that you can
- 'play' with the system by setting up your own chart of accounts,
- make practice entries, and then erase all of the entries when
- you are ready to start entering real data. Choose option 10 from
- the Maintenance Menu.
-
- After the system is operating you can also change from a floppy
- drive system to a hard drive system if you add a hard drive at a
- later date. Make sure that you copy all of the files from both
- disks to your hard disk before you change your hardware
- configuration in the maintenance section of the program.
-
- You can also change from a hard disk to a floppy system.
- However, first make sure that you have completed a month end
- close. Copy the files `GLDATA.FIL',`GLVEND.FIL', and `GLTB.FIL'
- from the hard disk to a `B' disk. The files to be transferred to
- an `A' disk (with DOS already on it) are as follows:
-
- BASRUN.EXE
- GLMENU.EXE
- GLCHART.EXE
- GLENTRY.EXE
- GLTRIAL.EXE
- GLCHECKS.EXE
- GLSTATE.EXE
- GLCTRL.FIL
- AUTOEXEC.BAT (if appropriate)
-
- After you have transferred the files, make sure that you start
- from the new disk in the `A' drive and not from the hard drive
- and then move directly to the maintenance option and make the
- appropriate disk change.
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- Page 20
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- VENDOR MAINTENANCE
-
-
- The program provides a simple and easy way to maintain up to 100
- names and addresses of people you write checks to on a regular
- basis. Choose option 2 from the Main Menu. This will take you to
- the Chart of Accounts and Vendor Maintenance menu. Choose option
- 5 from that menu and you will see the following:
-
- 1 = Add NEW Vendor
- 2 = CHANGE Vendor Data
- 3 = DELETE Vendor
- 4 = Print Vendor LISTING
-
- No vendor numbers are needed or used. All selections are done by
- typing a few letters of the company name. If there are several
- vendors having similar letter combinations, simply typing a 'N'
- for next will find the next match.
-
- For instance, typing 'CO' will find the following names:
-
- COLORADO MAGAZINE
- ABC COMPANY
- INTERCONTINENTAL MOTORS
-
- If you are adding a new name you will have to type in the name,
- street address, and city, state, and zip. Three lines are
- provided. The screen to add new names looks like this:
-
- Vendor Name: .....................
-
- Vendor Address: .....................
-
- Vendor City & State: .....................
-
-
- After filling in the blanks, you will be given an opportunity to
- make any corrections. The name is then added to the file.
-
- The screens to Change Data and Delete Vendors are identical. You
- locate the one you want by typing a few letters of the name and
- then either make changes or delete the name from the file.
- Deleting names makes space for additional names, up to 100 total
- at any one time.
-
- You can also add names to the file while you are writing checks.
- See page 12.
-
- Option 4 will give you an alphabetical listing (either on the
- screen or printer) of all vendors on file.
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- Page 21
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- TRANSFERRING DATA TO LOTUS 1-2-3
-
-
- Several spreadsheets, including Lotus 1-2-3, have the ability to
- read 'DIF' files and bring that data into their work area. DIF
- stands for Data Interchange Format. You can create DIF files by
- choosing item 9 from the main menu.
-
- You can transfer all or some of the following information:
-
- Account Number
- Account Name
- Month Balance
- Year to Date Balance
-
- The information when read by the spreadsheet will be in column
- form. For instance, you could transfer the account number and
- year to date balance for all accounts to two side by side
- columns in the spreadsheet.
-
- The program will ask you to identify the information you want to
- transfer. You can select any or all of the above four items and
- in any columnar order.
-
- You can also select which accounts you want to transfer:
-
- FILE NAME CREATED
-
- All accounts PCGENALL.DIF
- Balance Sheet only PCGENBAL.DIF
- Income Statement only PCGENINC.DIF
-
- The files created by the program will be on the 'A' disk for
- floppy system or in the current directory of a hard disk.
-
- You will then need to use the COPY command to transfer them to
- your spreadsheet work disk. Consult your spreadsheet manual on
- how to convert a DIF file to one that your spreadsheet can read.
-
-
- Note: As of this time, this part of the program has only been
- tested on Lotus 1-2-3. When using their Translate program
- use Columnwise vs. Rowwise when that option is presented.
-
- Trying the program with other spreadsheets cannot do any
- harm to the data in PC - GENERAL LEDGER. If you are
- successful in transferring data to other spreadsheets,
- please let us know.
-