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- WinCheck User's Guide: Getting Started
-
- Getting Started
-
-
- The following topics will be discussed in this section:
-
- The WinCheck Screen
- Writing Your First Check
- Working with the Check Statement and Register
- Editing and Splitting Transactions
- Printing a Cash Flow Report
- Creating a Custom Report
-
- The tutorial account included with WinCheck is an excellent place
- to begin learning to use the program. The WinCheck tutorial file includes
- sample data for January, February and March of 1991.
-
- To start the WinCheck program with the tutorial data, do the following:
-
- Start WinCheck by double clicking with the mouse on the WinCheck icon
- in Program Manger. If you have not added a WinCheck icon with the
- File New command, refer to the chapter on "Program Manager" in your
- Windows documentation.
-
- Note: If WinCheck is on your path, then it is also possible to
- start WinCheck by choosing Run from the File menu of Program Manager.
- Type WINCHECK for the "Command Line:". Otherwise, type the fully
- qualified path name for WinCheck (such as C:\WINCHECK\WINCHECK).
-
- Upon startup of the WinCheck program, you will be prompted for the
- account to load. To load the Tutorial account, choose TUT from the
- drop down listbox (click on the down arrow). The keyboard equivalent
- to clicking on the down arrow with the mouse is to press ALT+Down Arrow
- on the keyboard. Once you have selected TUT, click on the OK button
- or press Enter on the keyboard. If you have already started the
- WinCheck program and need to load the TUT account, choose Load Account
- from the File menu and choose the TUT account from the drop
- down listbox.
-
- When loading the Tutorial file, the Balances Dialog will appear with
- the balance values for Savings and Checking as well as the date of the
- last transaction. Press OK to exit the Balances dialog and view the
- account Register for March of 1991. WinCheck automatically loads the
- account Register that is closest to the current date. In the case of the
- TUT account, March 1991 is the last month with transactions.
-
- The WinCheck Screen:
-
- There are two visual aids besides the menu at the top of the screen:
- The Control Bar of icons across the top of the screen (mouse required)
- and the Status Line along the bottom of the WinCheck screen. The Control
- Bar allows for quick operation of the program by placing icon buttons
- of common operations below the menu. There are fifteen buttons that
- execute common WinCheck operations and an "Acct:" listbox on the far
- left that lists open accounts. The TUT acronym is listed now, to
- indicate that the Tutorial file is open.
-
- Left to right the icons do the following actions:
-
- 1 Credit Card transactions from credit card account or Debit Card
- transaction from Checking account.
- 2 Write a check.
- 3 Check Deposit.
- 4 Savings Withdrawal.
- 5 Savings Deposit.
- 6 Cash machine withdrawal from Checking.
- 7 Cash machine withdrawal from Savings.
- 8 Miscellaneous transaction from Checking.
- 9 Miscellaneous transaction from Savings.
- 10 Activates the Windows Calculator.
- 11 Clear selected transaction.
- 12 Unclear selected transaction.
- 13 Sum selected transactions in Statement or Register window.
- 14 Print check(s).
- 15 Find a transaction.
-
- The Status Line displays the description of the account (WinCheck
- Tutorial File) and the current balance information. The caption just
- above the menu lists the open month, the account ID, and whether the
- open window is a Statement or a Register. For example:
-
- WinCheck - Current Month 03/91 -[TUT: Register for March, 1991]
-
- The menu bar is just below the description information. One letter of
- each menu item is underlined. This letter is underlined to indicate
- the ALT combination to activate the menu. In otherwords, to activate
- the File menu from the keyboard, you would type ALT+F (for File). To
- activate the File menu using the mouse, click on the word File.
-
- There are three arrow buttons in the upper right corner of the WinCheck
- screen. The top two buttons are used to control the size of the WinCheck
- program screen and third button below is used to control the size of
- the Register or Statement window.
-
- Click on the third button (the Up and Down Arrow) and the Register window
- will be reduced in size. Click on the Down Arrow along the title of the
- Register window and the Register will now be reduced to an icon at the
- bottom of the screen. Double click on the Checkbook Icon or press Enter
- to restore the Register window again.
-
- Finally, click on the Up arrow along the frame of the Register window to
- Maximize the window to it's original position.
-
- Controlling the size of the program screen:
-
- Click on the Up and Down arrow in the far upper right corner to reduce
- the size of the WinCheck program from a full screen application. Click on
- the Down arrow to minimize the WinCheck application. Double click on the
- WinCheck icon at the bottom of the screen to switch back to WinCheck.
- Finally, click on the Up arrow to maximize the WinCheck program to
- full screen.
-
- Writing Your First Check
-
- To write a check, click on the check icon button (the tiny blue check)
- on the Control Bar, or press F3, or choose Check from the Checking menu.
- Any of these actions will bring up a blank check transaction.
-
- Note: When clicking on an icon button, you only need to click on it once.
- Double clicking will bring up a message stating that only one new open
- transaction may be open at a time. If this message box appears, press
- the OK button and continue.
-
- In the resulting check, click on the down arrow to view current transaction
- categories. Categories are a means to classify your transactions into
- certain groups such as "Entertainment" or "Business". The keyboard
- equivalent to clicking on the down arrow with the mouse is to press
- ALT+<Down Arrow> from the keyboard.
-
- Steps for completing the check:
- 1. Select the "Health Club" category from the drop-down listbox
- (click on down arrow).
-
- 2. Press the Tab key twice to jump to the Date field and type
- 03/30/91. (For the purpose of this tutorial, we have
- changed the date to be within the month of March to match
- the other tutorial data. Normally, you would leave the current
- date that is automatically inserted with a new transaction.)
-
- 3. Press the Tab key again to advance to the "To:" field.
-
- 4. Type "NorthWest Fitness".
-
- 5. Press the Tab key once to advance to the dollar amount field
- and type 23.34. The check is now complete.
-
- 6. Click on the OK button or press Enter on the keyboard to record
- the check transaction.
-
- To view the check in the Register window, use the vertical scroll bar to
- scroll to the end of the month (or use the Page Down key when Num Lock is
- off).
-
- Sorting the Register and Statement Data
-
- The default sorting routine for the Register is to sort by Date, so the
- transaction will appear near the end of the Register window data.
- From the Data menu choose Sort-> and pull to the right with the mouse to
- view the sorting options. The current sorting option is by Date, as
- indicated by the check mark. Choose by Number as the sorting method for
- the data in the Register window.
-
- When the Register is sorted by number, all of the transactions without
- check numbers (such as deposits) will appear at the top of the Register
- window with the checks below in ascending order.
-
- WinCheck is capable of viewing several Statements and Registers from the
- same or different accounts at one time. To view a check Statement, choose
- Display Check Statement from the Acct menu. In the resulting dialog,
- WinCheck displays the available months (in this case January 1991-March 1991).
- "Available months" are those months that actually contain data. For example,
- April will appear in the "Pick a month to view" dialog once a transaction
- has been made with an April date.
-
- Choose January 1991 and press Enter or click on the OK button. The Statement
- differs from the Register in that the transactions are grouped according to
- type (Deposits, Checks, etc). Click with the mouse of the Window menu or press
- ALT+W. At the bottom of the Window menu is a listing of the open Register
- and Statement windows.
-
- The two open windows are listed with a check by number 2. This indicates
- that the Statement window for January, 1991 is the active window.:
-
- 1: TUT: Register for March, 1991
- 2: TUT: Statement for January, 1991
-
- Choose Tile (from the Window menu) and view both windows at the same time.
- Switch back and forth between windows by clicking with the mouse anywhere
- in the January Statement window or the March Register window. Choose TUT:
- Register for March, 1991 from the Window menu to activate the March
- window. Now, click on the Up arrow to the left of the window title bar
- to maximize the Register window.
-
- The Column Headings for this Register are:
-
- ChkAmt: The amount of the Checking transaction.
- ChkBal: Your running balance for Checking.
- BnkChk: "The Bank's Opinion" on your running balance.
- SavAmt: The amount of the Savings transaction.
- SavBal: Your running balance for Savings.
- BnkSav: "The Bank's Opinion" on your running balance.
-
- The column widths for the Register and Statement windows can be adjusted
- with the mouse. To adjust the width of the columns, position the mouse
- between the two columns (such as ChkAmt and ChkBal) columns so that the
- mouse cursor changes to a line with arrows on either side. Now, click
- and drag the mouse to the right to expand the width of the ChkAmt column.
- Expand the width of the ChkBal column, by clicking on the right edge of the
- column and dragging to the right with the mouse.
-
- To save these changes to the column widths, choose Memorize Heading
- Columns from the Data menu.
-
- Summing Transactions
-
- To sum a portion of the transactions in the active check Statement, click
- with the mouse on check number 3287 to Safeway and drag the mouse through
- check number 3291 to Cellular One. Once all five transactions are
- selected click on the sigma icon button from the Control Bar, or press
- the + key on the keypad, or choose Sum Highlighted Amts from the Data menu.
-
- Selecting items in the Register or Statement
-
- The keyboard method for selecting transactions is to press and hold the
- Shift key while using the Up and Down arrow keys on the keyboard to
- extended the selection. To remove the selection click anywhere in the
- Statement window or press the Up arrow on the keyboard without holding
- down the Shift key.
-
- Calculator
-
- If you need to manipulate numbers not necessarily within transactions,
- click on the calculator icon located on the Control Bar (it's the 6th
- icon button from the right) or choose Calculator from the Data menu.
- To close the Calculator, press ALT+F4 or click twice on the close bar in
- the upper left corner.
-
- Colors and Fonts
-
- The colors and fonts that WinCheck is currently using are totally
- customizable. For example, to change the Statement screen font, do the
- following:
-
- 1. Choose Fonts from the File menu.
- 2. In the box labeled "Font Usage" choose the the Statement Window
- option (ALT+W).
- 3. Choose a Typeface such as Helv.
- 4. Choose 14 for the Size.
- 5. Click on the Apply button or press ALT+A to see the changes made
- to the statement window below.
- 6. Now, click within the Underline box or press ALT+U.
- 7. Again click on Apply button or press ALT+A. to see the changes
- made to the statement window below.
- 8. Choose OK to exit the dialog once you are satisifed with the font.
-
- To change the background color of the Statement window, do the following:
-
- 1. Choose Colors from the File menu.
- 2. In the Description box, select "Statement Window".
- 3. Click with the mouse on an alternative color such as light blue
- (from the keyboard press ALT+C and use the Up and Down arrows
- on the keyboard to select a color).
- 4. Click on the Apply button or press ALT+A to see the changes to
- the check statement window.
- 5. Choose OK to exit the dialog once you are satisfied with the colors.
-
- Editing and Splitting TransactionsEditing
-
- Choose Close Active Register/Statement from the Acct menu to close the
- Statement window. To expand the size of the Register window, click on
- the Up arrow button to the right of the window text,
- TUT: Register for March, 1991. To edit a transaction in the Register
- window, double click with the mouse on the item to edit (or press Enter
- when the selection bar is on the item).
-
- Double click on the checking deposit dated 03/14 to bring up the checking
- deposit information. Any of the items in this dialog can be changed.
- As a primer to the categories feature of WinCheck, choose Split... from
- the list of categories in the upper left corner (click on the down arrow).
- Split... is the first item in the drop down list box, followed by all
- of the custom categories for the tutorial account. After selecting
- Split..., click on the OK button to bring up the Split Transaction
- dialog. Within the following dialog, change the amount from 3100.00 to
- 1000.00 and then click on the down arrow to select "Royalty" as the
- category. Click on the Add button to add this split. Next, change the
- amount field to 1100.00 and select "Band Income" for the category.
- Again, click on Add to add this split to the checking deposit transaction.
- Finally, choose Model Fees for the remaining 1000.00 dollars, and click
- on Add. When no dollar amount remains in the amount field (0.00), all
- of the transaction has been split to separate categories. Press OK to
- enter the split information for the transaction.
-
- To print or view the Register information in a Report format, choose
- Report Generator from the Acct menu.
-
- 1. In the WinCheck Report Generator dialog, select January 1991 for
- the starting and ending date (this will be a report for the month of
- January only).
-
- 2. Below the Choose a Report Type label select Checking: Cash Flow.
-
- 3. Click on the Preview button or press ALT+V.
-
- This allows you to preview the cash flow report for January before printing.
- If the dialog in the lower right corner is obstructing the viewing of the
- data, click on the title bar labeled "WinCheck Print Preview" and drag the
- box about the screen.
-
- 4. Click the Stop button to return to the Report Generator Dialog.
-
- Click on the Print button to print a Cash Flow report for January 1991 or
- Exit to return to the WinCheck Register window (refer to the Configuring
- WinCheck chapter for information on configuring WinCheck for printing
- checks and reports).
-
- Creating a Custom Report
-
- There are several reports included with the WinCheck program (such as
- Checking:Cash Flow), and it is also possible to create your own custom
- reports. To create a custom WinCheck report for the tutorial data:
-
- 1. Choose Report Generator from the Acct menu.
-
- 2. Select January 1991 for the starting month and February 1991 for
- the ending month.
- 3. Click on the Add button to design a custom report.
-
- 4. In the following dialog type in Credits for the filename of the
- upcoming custom report, and press OK.
-
- 5. In the Report Description field you can type text to better
- describe your custom reports. For this example, type Barbie's
- Credit Report as the description.
-
- 6. Set the 1st Sorting method to Date, the 2nd to Amount, and the
- 3rd to Original Order (click on the down arrow and select from a
- list of available sort keys).
-
- 7. Uncheck the box labeled Debits or press ALT+B from the keyboard.
-
- A gray segmented bar appears below the report description field. This
- bar is used to indicate the data and width of each column. Double click
- within the first segment of the bar (to the far left) to bring up the
- Column Attributes dialog. In this dialog you can choose the type of data
- that will be displayed in the column. Choose Date and click on the OK
- button. Place the mouse cursor on the line between the first two columns
- so that the cursor changes to a line with an arrow on either side. When
- the mouse cursor has changed to the double arrow, click the mouse and
- drag to the left. This will shorten the width of the "Date" column.
- Now, double click within the second column and choose Amount for the
- column attribute. Next double click within the third column, choose
- Description from the column attributes dialog and click on the OK
- button. To preview the report with data from January and February,
- click on the Preview button. The resulting report will display only
- those transactions which added money to Barbie's account (credits).
- Click on the Stop button or press ALT+S to return to the previous dialog.
-
- Once returned to the WinCheck Custom Report Maker screen, click on the
- OK button. The custom report will now appear in the list of reports as
- "Barbie's Credit Report". This report can be printed at any time by
- selecting a starting and ending month and then clicking on the Print
- button. Additionally, the report can be edited at any time by selecting
- Barbie's Category Report and clicking on the Edit button.
-
- Now you are ready to start entering your data. If you are converting
- from a Quicken(R) account, please read the QUICKEN.TXT file included with
- WinCheck.
-