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Dr. Business
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DR_BUSINESS.BIN
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CASHC.EXE
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CHECK.HLP
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1993-06-01
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Main Menu
Expand the Main Menu by pressing the down arrow on a highlighted
item.
Select Main by pressing the side arrows.
Press the Enter key on an item to activate it.
Check Deposit Reports Accounts Exit
| | | | |________ End Program & Options
| | | |_________________ Pay to Data & Lists
| | |_________________________ Checkbook Registers
| |_________________________________ Make or Edit Deposits
|_______________________________________ Write A Check
Checks
Write a Check Create a check entry in the checkbook.
Print checks or enter hand written checks
to the checkbook.
Edit a Check Edit a check located by number or record.
Locate the item by viewing the checkbook
record log found under reports.
Debit Checkbook Debit subtracts amounts like a service
charge from the bank balance to adjust
the checkbook before balancing.
Balance Statement Mark checks as returned and balance the
checkbook.
Deposits
Enter a Deposit or Credit
Deposits are properly added to the checkbook
using this option. Credits or Deposits are
marked by using the right and left arrow keys
on the highlighted words DEPOSIT or CREDIT.
Edit a Deposit or Credit
Adjust the date to locate using the plus and
minus keys. Press the Enter key on the desired
date.
Transfer from Budget Accounts
Shift money withheld back to the main account.
Reports
The Checkbook Register View a listing by date.
Single Check Detail View View a single check by number.
View by Account or Flag View the checkbook by a single account.
View Deposit & Budget View the deposits and amounts withheld.
Expense Totals The grand total of each expense account.
Deposit Totals The grand total by deposit account.
Checkbook Records A checkbook record listing. See Manual.
Printer Status Turn the report printing on or off.
Accounts
Accounts Payable -A database of businesses you write checks to.
View expense codes -A listing of the expense account titles.
View flag accounts -A listing of the account flags.
View income codes -A listing of codes used for depositing money.
Print payable guide -A printout of the payable database.
Print expense codes -A printout of the income and expense codes.
Exit
Exit program End this session.
Startup values Enter or edit starting check number & balance.
Checkbook info. Account information
Change password Password security
Backup data Automatic backup of files to a floppy.
Set colors Pick a color file from a menu. ( Color Monitor )
Check Number + - * /
Advance the check number by pressing the Plus or Minus keys.
The plus key will advance the number by one.
The minus key will subtract the number by one.
Special keys ... ( * Sets number to zero.) ( / Reset.)
Be careful not to use the same check number on more
than one check. The Cash Control does not search to
see if a number has already been used.
This option is used when checks are entered out of order.
The number should be checked each time a check is entered
to insure accurate entry.
Date
Advance the date by pressing the Plus or Minus keys.
The Plus key will advance the date by one day.
The Minus key will subtract a day.
Please notice the option line where date entry is required.
/ * - + >
/ Set date to beginning of year.
* Set date back one month.
- Set date back one day.
+ Set date forward one day.
> Set date forward one month.
Pay To
Enter an Account Code to retrieve Pay To vendor from database.
Enter F6 to select from an established list in the database.
Press the Enter key without input to enter a name and
address. Press F5 to save the input as a data item.
Use the Up arrow to start at the top of the Pay To box.
Pay To Lines
__________________ Enter the name or business on line 1.
__________________ Enter the Address
__________________ Enter additional Address
__________________ Enter the City
__________________ Enter the State and Zip Code.
Press Enter after each line.
F5 to Save > Press F5 after the last line to save the
contents to a data record number.
Amount
Enter the amount of the check.
Do not use commas or dollar signs in the entry.
Example $10,000.00 should be
entered as 10000.00
This rule is true for any number entry
in Cash Control.
Account Code
For a check written on a single account, enter the code
or press F6 for a list of codes.
For a check with split accounts press the enter key
with no entry to enter splits later.
Use the F6 key to view and select from a list of
accounts.
Invoice
Enter an invoice number on this line. The number may
contain letters and numbers.
The invoice number is printed on the check if a number
is given. A null entry will omit the invoice identification
on the check.
Flag
Press F6 on the flag field to view and select from a list of
flag accounts. Enter a flag directly by typing the letter
on the flag line. ( Example .. Flag A )
A flag is used to sort checks with multiple account numbers
to a single group.
( Example ) Two checks written to a hotel. Both are
expensed to an account for travel. One may go to a
flag for Chicago and the other to a flag for Denver.
Memo
Enter a memo on the field provided.
View a memo using the single check lookup.
Memo ________________________________________________
Any notes or details about the check.
Splits
Split a check up to six times with different accounts.
( Example ) Amount of check 72.50
Act1 __1 Account Title_____ Amount __10.00
Act2 __2 Account Title_____ Amount __12.50
Act3 __20 Account Title_____ Amount __50.00
Use F6 to view accounts from a list.
F Keys
F5 Write another check after this one. Continue.
F10 This is the last check to enter. Exit to menu.
F2 Abort the entry. Exit without saving the last
check.
F3 Reenter the last check from the top. Make
any changes.
F7 F8 Printer
A function key must be pressed to continue.
Account Amount
Split account checks divide the amount of the check over
several expense accounts. The amounts of the split should
add up to the gross check amount. An error message will
result if they do not add up correctly.
( Example ) Amount of check 72.50
Act1 __1 Account Title_____ Amount __10.00
Act2 __2 Account Title_____ Amount __12.50
Act3 __20 Account Title_____ Amount __50.00
Set Amount
The Account Payables member may be a fixed amount each
month such as a house payment made to the bank. Because it
is always the same, the amount may be entered here as a
reminder when writing a check.
The dollar amount is not imported directly to the check
amount line. The dollar amount displayed in the Pay To
Box must be reentered by the user as the check is written.
Deposit
Use the Left & Right arrow keys to select between Deposit
and Credit. Press Enter on the highlighted choice.
Use the Plus & Minus keys to roll the Date. Press Enter
on the correct Date.
Enter the full amount of the deposit on the Amount line.
Deposit Account
Enter the Deposit account number and press the Enter key.
Press F6 to view and select from a list of accounts.
There is no split accounts in the Deposit portion of
the program.
Budget Account
While making a Deposit...
Enter dollar amounts to be subtracted from the gross
Deposit Amount and set aside in the Budget account
for later bill payment. Cash is set aside to pay bills
later. The Net Deposit will is adjusted automatically.
Transferring the money back ...
Use the Transfer Budget Accounts option under Deposits
to put the money back in the main account. Enter the amount
to subtract from each account.
Act. 1 Act. 2 Act. 3 Act.4
______ ______ ______ ______
Edit Check
Select a check already written. Locate the check by the
check number or the record number.
View the Record Listing under the Reports menu to
find the record or check number.
The record number selection is invoked by pressing
the Enter key on the check number line.
Use the record number to edit a check written with a
duplicate check number.
Print Check
Press the letter ( P ) to toggle the check printing
ON or OFF.
The printer may also be turned on at the F Key menu
after a check entry. Press F7 or F8 to change printer.
Press F5 or F10 to complete the check and the printer
will function if it was turned on using the function
keys.
Check Printing
Load the printer with checks and note the
beginning number. Be sure the next number to
be printed is correct.
Start Up
The checkbook balance and starting check number can be
changed in the Install program. A change in the beginning
balance will be recalculated in the checkbook. A change
made to the starting check number will only affect to first
check written. The check numbers do not change when the number
is edited.
The checkbook size is set in the Install program. If the size
is changed the data in the check will be destroyed. Do not
reinstall to change the size unless you wish to start a new
checkbook.
The Percentage full indicates the size of the Main data file.
The program will reset the size at around 90% full.
Check Info.
This information is used to identify the account. The
information is also printed on reports by turning on the
( Print Header ) option in the Printer Status.
Normally these are not changed for an account after the
initial install. The edit option allows the change of any
error found after the checkbook is started.
Backup Data
The backup feature will make safety copies of all the
data files for this program.
Enter the Destination drive ( Such as B ) and any
existing directory. No directory entered will result in
the data going to the root directory of the destination
disk. This program will not create a sub-directory.
Please use the Backup feature after each check writing
session.
The Backup option must be able to copy all data files to
a single disk. Please view section 7.8 in the manual.
Option Box
To enter new checks press the letter ( Y ) to advance
to the check entry screen.
Turn the printer on for printing checks by pressing the
letter ( P ). Notice the box will indicate the change
as the letter is pressed.
Press the letter ( N ) to exit the Option Box.
A letter must be pressed to continue.
Please note the next check number to be entered as
correct.
Look up Check
Enter a check number to locate or enter the record number
as found in the Record register under Reports.
Quickly view a check and the detailed information on
the check.
If changes are necessary select the Edit Check option
under the Checks menu.
View Code
Enter an account code to view or press F6 to select a code
from a list.
Press Enter on the code line with no entry to advance the
cursor to the Flag line.
Enter an account flag or press F6 to select a code from
a list of flags.
The checks listed will be of the account flag or code
given. The total dollar amount is of the account selected.
Budget Report
The budget report will list all the Deposits to the
checkbook and the amounts withheld for budget accounts.
The report details the dates of each budget entry and
amount. The final totals represent the total now
in the account.
Use the Plus & Minus keys to set the beginning report
date.
Printer
Press the letter ( P ) to turn the printer On or Off.
Reports generated with the Reports menu will go to
the printer.
Note:
A warning box displays if the printer is
turned on. Press the ( + ) plus key to
include a Header on the report. Press the
key while the box is on screen.
Payable Keys
_______ Enter a code number to edit.
F5 / New Item Press F5 to create a new member.
F10 / Exit Exit to main menu.
F6 / View Press F6 to view a list of members.
Use the arrow keys to move the cursor while editing
the database.
Press Escape to abort the entry.
* End *