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- ┌─────────────────────────────────┐
- │ C A S H C O N T R O L │
- │ Version 1.21S │
- ├─────────────────────────────────│
- │ by Adrian-Thomas │
- └─────────────────────────────────┘
-
-
- Cash Control Version 1.21S is a Shareware Program. Shareware is a form
- of software marketing that allows you to "try before you buy".
- Shareware has low advertising costs that result in lower software
- prices.
-
- You are granted a limited licence to use Cash Control Version 1.21S for
- a trial period of 60 days. If you decide to continue using Cash
- Control, you must Register with Adrian-Thomas. The registration fee is
- $29.95 ($34.95 in Canada). In return, we will send you:
-
- - Registered Version 1.21. This version includes:
- - A built in Calculator and Calendar.
- - Support for EGA and VGA color graphics.
- - Elimination of the Program Exit screen.
- - A high quality manual.
- - Technical support.
- - Information when new versions of Cash Control are available.
-
- You are encouraged to copy Version 1.21S and distribute to friends.
- You may not SELL copies of Version 1.21S except for the cost of
- distribution. Shareware forms of distribution are acceptable.
-
- You may not alter the program or documentation in any way. It must be
- left in its original form.
-
- To register, print out and mail in a registration form. Or call
- Adrian-Thomas at (613)-837-0684.
-
- 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 P.O. Box 5786, Bellevue, WA 98006 or send
- a Compuserve message via easyplex to ASP Ombudsman 70007,3536
-
-
-
-
- Cash Control Registration Form (Version 1.21)
- --------------------------------------------
-
- To register, fill out this form and mail it to:
-
- Adrian-Thomas Make Check or Money Order
- P.O. Box 532 payable to Adrian-Thomas
- Orleans, Ontario, Canada
- K1C 1S9
-
-
- Name ___________________________________________________
-
- Address ___________________________________________________
-
- City _____________________ Prov/State __________________
-
- Country _____________________ Postal Code / Zip ___________
-
- Phone ( ) ______ - ________
-
-
- DESCRIPTION PRICE
- ---------------------------------------------------------------
- Cash Control Version 1.21 with Registration
- $29.95 each US dollars ($34.95 Canadian) ......... $ _______
-
- Shipping and Handling
- $3.00 US and Canada (Other countries $10.00) ..... $ _______
-
- Total ..... $ _______
-
-
-
- Disk Size: ( ) 5.35" ( ) 3.5"
-
-
- What processor type is in your Personal Computer? (Check one)
- __ 8088/86 __ 80386 __ Don't know
- __ 80286 __ 80486 __ Other, specify -> ____________
-
- How did you hear about Cash Control? __________________________
-
- _______________________________________________________________
-
-
- THANK YOU for registering with us!
-
-
-
-
- What You Need
- -------------
- Cash Control requires the following for its operation:
- 1. An IBM Personal Computer or compatible computer.
- 2. DOS 2.0 or later.
- 3. A minimum of 320 KB of main memory.
- 4. Any one of the following disk configurations:
- - Single diskette configuration, 360 KB or larger.
- - Dual diskette configuration, two 360 KB or larger.
- - Fixed disk configuration, One fixed disk and One diskette drive
- (360 KB or larger).
- 5. Optional printer compatible with the either the IBM Graphics
- Printer or a HP LaserJet Printer.
-
-
-
- About the Company
- -----------------
- Adrian-Thomas Developments Inc. is a new company formed in 1989.
- We specialize in software for the home and are delighted to present you
- our first product, Cash Control. Our philosophy is to produce software
- that improves the quality of your life instead of adding more work and
- complexity. We are confident that you will enjoy Cash Control. Thank
- you for your support!
-
-
-
- Contents
- --------
-
-
- Introduction. . . . . . . . . . . . . . . . . . . . . 1
- Cash Control - Version 1.21 . . . . . . . . . . . . 1
- Cash Control - Future Directions. . . . . . . . . . 1
-
- Getting Started . . . . . . . . . . . . . . . . . . . 2
- About this Manual . . . . . . . . . . . . . . . . . 2
- Installing or Upgrading Cash Control. . . . . . . . 2
- Running Cash Control. . . . . . . . . . . . . . . . 3
- Fast Start. . . . . . . . . . . . . . . . . . . . . 3
-
- The Cash Control Main Menu. . . . . . . . . . . . . . 4
- Selecting Cash Control Commands . . . . . . . . . . 4
- Using the Moving Bar. . . . . . . . . . . . . . . . 4
- Getting Help. . . . . . . . . . . . . . . . . . . . 4
- Press [Esc] to Exit . . . . . . . . . . . . . . . . 4
- Main Menu Commands. . . . . . . . . . . . . . . . . 4
- Setting the Program Date. . . . . . . . . . . . . . 5
- Leaving Cash Control. . . . . . . . . . . . . . . . 5
-
- Using Your Accounts . . . . . . . . . . . . . . . . . 6
- Creating an Account . . . . . . . . . . . . . . . . 6
- Viewing an Account. . . . . . . . . . . . . . . . . 7
- Saving Your Data to Disk. . . . . . . . . . . . . . 7
-
- Using the Register Screen . . . . . . . . . . . . . . 8
- Register Screen Keys. . . . . . . . . . . . . . . . 8
- Switching Display Modes . . . . . . . . . . . . . . 8
- Withdrawing and Depositing Funds. . . . . . . . . . 8
- Editing Transactions. . . . . . . . . . . . . . . . 9
- Void Checks . . . . . . . . . . . . . . . . . . . . 9
- Deleting Transactions . . . . . . . . . . . . . . . 9
- Balancing Your Account. . . . . . . . . . . . . . . 9
-
- Printing Checks . . . . . . . . . . . . . . . . . . . 12
- Setting the Check Format. . . . . . . . . . . . . . 12
- Writing Checks In the Register. . . . . . . . . . . 12
- Using the Printcheck Screen . . . . . . . . . . . . 12
- Reprinting Checks . . . . . . . . . . . . . . . . . 14
- Ordering Checks . . . . . . . . . . . . . . . . . . 14
-
- Autoentry and Codes-memos Lists . . . . . . . . . . . 15
- Remembering Transactions, Codes and Memos . . . . . 15
- Using the Codes-memos List. . . . . . . . . . . . . 15
- Retrieving Matching Transactions. . . . . . . . . . 16
- Using the Autoentry List. . . . . . . . . . . . . . 16
- Entering Automatic Transactions into Your Account . 17
- Transaction Reminder. . . . . . . . . . . . . . . . 18
-
-
-
- Other Register Screen Commands. . . . . . . . . . . . 20
- Transferring Funds. . . . . . . . . . . . . . . . . 20
- Splitting Transactions. . . . . . . . . . . . . . . 20
- Moving Transactions . . . . . . . . . . . . . . . . 21
- Searching for Transactions. . . . . . . . . . . . . 21
- Viewing Available Memory. . . . . . . . . . . . . . 22
-
- After the First Year. . . . . . . . . . . . . . . . . 23
- Creating a New Year of Transactions . . . . . . . . 23
- Moving Through the Years. . . . . . . . . . . . . . 23
-
- Charge Accounts . . . . . . . . . . . . . . . . . . . 24
-
- Working with Your Account Files . . . . . . . . . . . 25
- Changing an Account's Title . . . . . . . . . . . . 25
- Changing the Order of Account Files . . . . . . . . 25
- Deleting an Account File. . . . . . . . . . . . . . 25
-
- Reports . . . . . . . . . . . . . . . . . . . . . . . 26
- Using the Report Menus. . . . . . . . . . . . . . . 26
- Viewing Reports on the Screen . . . . . . . . . . . 27
- Making Quick Reports. . . . . . . . . . . . . . . . 28
-
- Changing the Program Options. . . . . . . . . . . . . 29
- Turning on the Color. . . . . . . . . . . . . . . . 29
-
- Hints and Tips. . . . . . . . . . . . . . . . . . . . 30
- Postdated Checks. . . . . . . . . . . . . . . . . . 30
- Program Color Control . . . . . . . . . . . . . . . 30
- The Files on Your Program Diskette. . . . . . . . . 30
- Files on Dual Diskette Drives . . . . . . . . . . . 31
-
- 1
-
-
- Introduction
- ------------
-
-
- Cash Control - Version 1.21
- --------------------------
- Cash Control simplifies your home financial record keeping. It
- accomplishes this with a small investment of your time to learn and
- operate the program.
-
- Cash Control looks like your checkbook register. You can:
- - Enter transactions for checking, savings or charge accounts.
- - Transfer funds between accounts.
- - Print checks on your printer.
- - Balance your account with your bank statement.
- - Remind yourself when payments are due.
- - Prepare reports and graphs of your recorded transactions.
-
-
- Cash Control - Future Directions
- --------------------------------
- Cash Control is a program under continuous development. While Version 1.21
- satisfies much of your basic financial needs, many exciting enhancements
- are planned for future versions. The same style, ease of use and
- consistent user interface will be maintained.
-
- 2
-
-
- Getting Started
- ---------------
-
-
- About this Manual
- -----------------
- Square brackets [ ] indicate a key. The following represents the "Enter"
- key:
- [Enter]
-
- Round brackets ( ) indicate Cash Control Commands. The following shows the
- "Row" command followed by the "Edit" command:
- (Row/Edit)
-
- Some program menus have optional fields. These fields are identified with
- an * to the left of the field's description.
-
- Check the README File
- A README file is on your Cash Control Program diskette. It contains last
- minute manual corrections. Read this with any ASCII editor.
-
-
- Installing or Upgrading Cash Control
- ------------------------------------
- Follow these directions to install Cash Control for the first time or to
- upgrade from an earlier version to Version 1.21.
-
- Important Upgrade Information
- Version 1.0 data files work with Version 1.21. So no conversion of data
- files is necessary. Use the following installation instructions to
- upgrade to Version 1.21. Only the program files are copied over and your
- data files are preserved. The program options will be reset to the
- default setting.
-
- Diskette Installation
- Follow these instructions to install or upgrade Cash Control on a system
- with Diskette drives only. The following example shows you how to
- install from drive A to drive B. Reverse the drive letters if you want
- to install from drive B to drive A. (NOTE: Single diskette Systems
- should follow this procedure. You will be prompted when to exchange
- diskettes.)
- 1. Place your Cash Control Program diskette in drive A.
- 2. From the DOS prompt, set the default disk drive to A by typing
- "a:" and pressing [Enter].
- 3. Type "install b:" and press [Enter] to install Cash Control on a
- formatted diskette in drive B.
-
- 3
-
-
-
- Fixed Disk Installation
- Follow these instructions to install or upgrade Cash Control on a Fixed
- Disk. This example shows how to install from diskette drive A to fixed
- disk drive C. You can also use diskette drive B and fixed disk drive D
- by substituting these letters in the following example.
- 1. Place your Cash Control Program diskette in drive A.
- 2. From the DOS prompt, set the default disk drive to A by typing
- "a:" and pressing [Enter].
- 3. Type "install c:" and press [Enter] to install Cash Control on
- fixed disk drive C.
-
-
- Running Cash Control
- --------------------
- From the DOS prompt, type "cashc" and press [Enter]. If you are using a
- Fixed Disk, first make sure that you are viewing the subdirectory where
- Cash Control is located.
-
- Dual Diskette Drive Notes
- When you run Cash Control, you need to tell it where to find your data
- files. Follow these instructions.
- - From the Cash Control Main Menu, select (Options).
- - At the Program Options Menu, move the Moving Bar to Data File Disk
- Drive.
- - Select (Edit) and change the Data File Disk Drive to the drive
- containing your data files. For example, type "B" if your data files
- are on diskette drive B.
- - Press Esc to exit the Program Options Menu.
-
- From now on, Cash Control will look for your data files on drive B.
-
-
- Fast Start
- ----------
- If you are in a hurry to try out Cash Control, run the program and
- experiment with the commands using the sample data file provided. Be sure
- to press [F1] for help or refer to this manual. Next, create your own data
- files and start adding your transactions using the (Withdraw) and (Deposit)
- commands. Use the (Row/Remember) command to remember any frequently used
- transactions in the Autoentry List.
-
- You can print checks on your printer by:
- 1. Writing then into your register using the (Checkwrt) command.
- 2. Printing them on your printer using the (Global/Printcheck) command.
-
- 4
-
-
- The Cash Control Main Menu
- --------------------------
-
-
- Selecting Cash Control Commands
- -------------------------------
- Cash Control's Main Menu displays commands below the Program Logo. On
- other screens, commands are usually listed on the top line. Pressing the
- capitalized letter in one of the command words causes Cash Control to
- execute it. For example, if you press [R], you will go to the Reports
- Menu. This will happen whether you press an upper or lower case [R]. The
- capitalized letter is usually highlighted with different color. On
- monochrome displays, it is underlined.
-
- While the capitalized or highlighted letter is usually the first letter in
- the command, note that this is not always the case.
-
-
- Using the Moving Bar
- --------------------
- On many screens and menus, Cash Control uses a Moving Bar to indicate
- active files or transactions. Move this bar around the screen with the
- cursor movement keys.
-
-
- Getting Help
- ------------
- Press [F1] whenever you want to view the help text. Cash Control has
- context sensitive help. While viewing Help, press [F1] again to view the
- Help Index screen.
-
- Some help screens show highlighted text and a Moving Bar. When you move
- the Moving Bar to a highlighted text area and press [Enter], you see a new
- help screen related to the highlighted text. After doing this, you can
- press [B] to Backup to the original help screen.
-
- Press [Esc] to exit Help.
-
-
- Press [Esc] to Exit
- -------------------
- [Esc] allows you to exit from any command or menu except for disk error
- windows. Here, you must press either [Y] or [N].
-
-
- Main Menu Commands
- ------------------
- Accounts View or update your accounts.
- Reports Create Reports from your accounts.
- Date Change the Program Date.
- Options Change the program settings to suite your personal
- preference.
-
- 5
-
-
-
- Setting the Program Date
- ------------------------
- When you enter Cash Control, the Program Date is set to your computer
- system's date. Cash Control allows you to change the Program Date without
- affecting the system date. If your computer does not have a built-in
- system clock/calendar, this command will be very useful.
-
- From the Main Menu, select (Date). A window pops up which allows you to
- enter a new date. Key it in and press [Enter]. Press [Esc] to exit
- without changing the date.
-
-
- Leaving Cash Control
- --------------------
- While viewing the Main Menu, press [Esc] to leave Cash Control
-
- 6
-
-
- Using Your Accounts
- -------------------
-
-
- Some Restrictions:
- - Maximum of 15 accounts per DOS Subdirectory. Create several
- subdirectories if more are necessary.
- - Maximum of 3000 transactions per year per account.
- - Maximum of 500 transactions per month per account.
- - Unlimited number of years per account.
- - Maximum dollar amount of $9,999,999.99.
- - Maximum of 50 unprinted checks.
-
- Accounts File Menu
- To view or update your accounts, select (Accounts) from the Main Menu.
- You see the Accounts File Menu.
-
-
- Creating an Account
- -------------------
- Before you can add your deposits and withdrawals, you must create an
- account. While viewing the Accounts File Menu, select (Add) to create a
- new account. Enter the following in the Add window:
-
- Account Filename
- Key in up to 6 characters. You may use characters A through Z and
- numbers 0 through 9.
-
- Account File Title
- This is the account's title. Key in the title of your choice. For
- example, Tom's Checking Account.
-
- Year
- Key in the starting year for the account. For example, key in 90 for the
- year 1990.
-
- Starting Balance
- This is the initial amount contained in the account. Negative numbers
- are allowed here. For example, if you owe $150 on a Charge Account,
- enter -150.
-
- Charge Account
- Type [Y] if this is a Charge Account like a VISA Charge Card account.
- Type [N] if this is an account such as a checking or savings account.
-
- Press [Enter] and a new account is created.
-
- 7
-
-
-
- Viewing an Account
- ------------------
- While viewing the Accounts File Menu, move the Moving bar to the desired
- account with the cursor keys. Press [Enter] to Use or retrieve the account
- and you see the Register Screen.
-
- The following headings are displayed in the Heading Window below the
- command line:
- #### Check Number
- Dy Day of the month
- Description Transaction Description
- C Cleared Bank Statement indicator
- T Taxable transaction indicator
- Withdraw Withdrawal amount
- Deposit Deposit amount
- Balance Account Balance after this transaction
-
- The uppermost line of the Heading Window indicates the month and year, the
- Account File Title, and the Starting Balance prior to the first
- transaction on the screen.
-
-
- Saving Your Data to Disk
- ------------------------
- Cash Control saves your data to disk when you exit the Register Screen or
- when you switch accounts.
-
- Changes to the Codes-memos List are saved when you exit the program.
-
- 8
-
-
- Using the Register Screen
- -------------------------
-
-
- Register Screen Keys
- --------------------
- These keystrokes allow you to move through your account. If you have just
- created a new account, some of these keys will not function because you
- have no transactions. Refer to this chart after you have added some.
- Cursor Up Select the previous transaction.
- Cursor Down Select the next transaction.
- [PgUp] Page backwards though this account.
- [PgDn] Page forwards though this account.
- Cursor Left Go to the previous month.
- Cursor Right Go to the next month.
- [Home] Go to the first transaction in January.
- [End] Go to the last transaction of this year.
- [Ctrl]+[Home] Go to the first transaction in this month.
- [Ctrl]+[End] Go to the last transaction in this month.
-
-
- Switching Display Modes
- -----------------------
- Select (Mode) to toggle between the normal display mode and the Memo
- display mode. The normal mode displays Withdrawals and Deposits under
- separate columns. The Memo mode displays the Memo and Code fields of the
- transactions. In this mode, the Amount column shows a positive value for
- Deposits. Withdrawals show negative values. The Heading Window displays a
- Line Balance value rather than a Starting Balance. This is the account
- balance for the transaction marked by the Moving Bar.
-
- You can switch between modes by pressing [M]. All Cash Control commands
- work the same regardless of the mode you choose.
-
-
- Withdrawing and Depositing Funds
- --------------------------------
- Select (Withdraw) to withdraw funds and to enter Handwritten Checks into
- your account. Select (Deposit) to deposit funds.
-
- Enter the transaction in the pop up window. Fields marked with an * to the
- left are optional. Use the tab keys and cursor keys to move between
- fields. Press [Enter] when finished to add this transaction to your
- account.
-
- Setting the Date
- The date is preset in the entry window. To change it, press:
- [F9] Advance backwards by a single day.
- [F10] Advance forwards by a single day.
- [Ctrl]+[F9] Advance backwards by a single month.
- [Ctrl]+[F10] Advance forwards by a single month.
-
- 9
-
-
- Setting the Check Number
- When using Withdraw, the check number value will automatically increment
- in the #### field. Press [Alt]+[C] if you want to clear out this field.
- This works even if the cursor is not located on the #### field. You can
- key in alphabetic letters in this field. For example, key in ATM for ATM
- transactions.
-
- Viewing the Codes-memos List
- Press [F3] to view the Codes-memos List. Refer to the section titled
- Using the Codes-memos List for more information.
-
- Retrieving Matching Transactions
- Press [F4] to retrieve a matching transaction from the Autoentry List.
- Refer to the section titled Retrieving Matching Transactions for more
- information.
-
- Press Esc to Exit
- While viewing the window, press [Esc] to exit without adding this
- transaction.
-
-
- Editing Transactions
- --------------------
- Move the Moving Bar up or down to select the Active Transaction. Then
- select (Row/Edit) to edit it. A window pops up which looks very similar to
- the Withdraw or Deposit windows. Key in the changes and press [Enter].
- Many keys work the same as in the Withdraw and Deposit windows. These are
- [F3], [F4], [F9], [F10], [Ctrl]+[F9], [Ctrl]+[F10], [Alt]+[C] and [Esc].
-
-
- Void Checks
- -----------
- Select (Void) to record Void checks in your account register. The Withdraw
- Window appears with the Check Number and Void already filled in. You can
- change the date or information in the fields if you wish. Press [Enter] to
- add the Void check to your account. Notice that Void checks are added to
- your register with the Cleared indicator on.
-
-
- Deleting Transactions
- ---------------------
- Select (Row/Delete/Delete) to delete the Active Transaction.
-
-
- Balancing Your Account
- ----------------------
- Cash Control has a special screen for Balancing your account with your
- Bank Statement.
-
- 10
-
-
- Entering the Balance Screen
- Select (Global/Balance) to enter the Balance Screen. This screen shows
- your uncleared and Just Cleared transactions only. Just Cleared
- transactions are those that you have recently cleared.
-
- Exiting the Balance Screen
- Press [Esc] to exit this screen. You can exit while in the middle of
- balancing your account. Later you can return to the Balance Screen and
- continue.
-
- Marking Your Cleared Transactions
- Move the Moving Bar to the desired transaction and select (Clear). The
- Just Cleared indicator will turn on for this line. Repeat for all of the
- cleared transactions in your bank statement. After you clear an item,
- the Moving Bar automatically advances down one row if you set the Move
- Cursor on Clear option to YES in the Program Options Menu.
-
- Editing Transactions
- Sometimes a transaction in your bank statement does not agree with the
- one in your Cash Control account. For example, your bank statement shows
- a check for $39.99. You entered $39.49 in Cash Control. To correct
- this, move the Moving Bar to this transaction and make your changes
- using the (Edit) command.
-
- Adding and Deleting Transactions
- Press [Esc] to exit (Global/Balance). Use the (Withdraw), (Deposit) or
- (Row/Delete) commands. Select (Global/Balance) again to continue
- balancing.
-
- Finished Clearing - Comparing Your Balances
- The Heading Window displays the Cleared Balance. It should match your
- bank statement balance when you have completed clearing transactions. If
- it doesn't, double check those transactions that you Just Cleared.
-
- If it still doesn't balance, you can set the Ending Statement Balance
- using (Global/Ending) so that the Required Adjustment may be calculated.
- A positive amount for the Required Adjustment means that you must
- deposit funds to balance. Withdraw funds if it is negative.
-
- Also notice that the Uncleared Amount is the sum of all transactions
- which have not cleared your account.
-
- Archiving Just Cleared Transactions
- Once your account balances with your bank statement, select
- (Global/Archive) to change all Just Cleared indicators to Cleared
- indicators. Then these transactions will no longer be seen when you
- enter the Balance Screen. Just Cleared transactions have a different
- character than Cleared transactions. These characters may be changed
- using the Program Options Menu.
-
- 11
-
-
-
- Other (Global/Balance) Commands
- While in Balance, use the following commands to aid you:
- Unclear Turn off the Just Cleared indicator for this transaction.
- First Find the first uncleared transaction in this year.
- Next Find the next uncleared transaction.
- Year Change years.
- Global/Order Switch between Date ordering and Type ordering for this
- list. You can set the default order using the Program
- Options Menu.
-
- Balancing New Accounts
- When you create a new account, the Cleared Balance is set to the same
- value as your Starting Balance. The Cleared Balance will not match your
- bank statement balance during the transition period from your old
- accounting method to Cash Control as long as you have uncleared
- transactions in your old accounting method. During this transition
- period, use the Uncleared Amount to assist you in balancing your account.
- Once all the checks have cleared in your old accounting method, the
- Cleared Balance should match with your bank statement after you balance
- your account.
-
- 12
-
- Printing Checks
- ---------------
-
-
-
- Setting the Check Format
- ------------------------
- Before you print checks with Cash Control, you need to describe the Check
- format. The program is preset for Deluxe format #091004 on Printer Port 1.
- If you need a different format:
- - Select (Options) from the Main Menu.
- - Press [PgDn] until you reach Page 3 of the Program Options Menu.
- - Select (eXplain) to give an explanation of each option.
- - Select (Format) to set the Check Format to another preset format. If
- your checks are different than these, set the field positions
- individually using (Edit).
- - Select (Test) to print a test check on your printer.
- - When you are satisfied with the result, Press [Esc] to return to the
- Main Menu.
-
- Note: Cash Control only uses checks with preprinted Check Numbers.
-
-
- Writing Checks In the Register
- ------------------------------
- From the Register Screen or the Autoentry List, select (Checkwrt) to write
- a check for later printing on your printer. Enter your data similar to the
- (Withdraw) command.
-
- Check Address
- With (Checkwrt) you can enter the Address of the Payee. Later, you can
- save the address with this transaction in the Autoentry List by
- selecting (Row/Remember/Autoentry).
-
- Press [Enter] to Add to Your Register
- When you press [Enter], the check is added to your Register. Since it is
- an unprinted check, ***** is visible in the Check Number column. Also, a
- C is visible in the lower right hand side of the screen showing that
- there are unprinted checks in this account.
-
- Unprinted Check Commands
- You can Edit, Split, Move, or Remember unprinted checks similar to
- Withdrawals or Deposits.
-
-
- Using the Printcheck Screen
- ---------------------------
- You can print out all the checks you wrote with (Checkwrt) at the
- Printcheck Screen. From the Register Screen, select (Global/Printcheck).
- This screen lists all unprinted checks for this year. The right portion of
- the screen shows more information about the check marked by the Moving
- Bar.
-
- 13
-
-
- Printcheck Keys
- Cursor Up Move the Moving Bar up.
- Cursor Down Move the Moving Bar down.
- [PgUp] Page backwards.
- [PgDn] Page forwards.
- [Home] Go to the first Unprinted check.
- [End] Go to the last Unprinted check.
-
- Selecting Checks for Printing
- The Printcheck Screen allows you to print All or Some of the checks
- listed. If you only want to print some of the checks, select those you
- want printed with (Mark). First move the Moving Bar to the desired check
- and press [M] to mark it. Similarly, use (Unmark) to unmark checks.
-
- If you want to print a single check or all checks, no marking is
- necessary.
-
- Start Printing
- Select (Print) to print checks. Next select:
- Row Print the check marked by the Moving Bar.
- Marked Print only Marked checks.
- All Print all checks. (Even those not Marked)
-
- Which Checks Printed OK?
- After printing is done, you must tell Cash Control how many checks
- printed correctly. Select:
- All All checks printed correctly. Then:
- 1. Enter the Check Number visible on the first check that was
- printed.
- None None of the checks printed correctly.
- Some Some checks printed correctly and some did not. Then:
- 1. Enter the Check Number visible on the first check that was
- printed.
- 2. Enter the Check Number of the first BAD check printed.
-
- After these steps, the checks that printed successfully have Check Numbers
- assigned in the Register. They are removed from the Printcheck Screen.
-
- Other Printcheck Screen Commands
- Edit Edit the check marked by the Moving Bar.
- Checknumber Assign a Check Number to this unprinted check and remove it
- from the Printcheck Screen. This is helpful if you decide
- to write this check by hand rather than printing it on your
- printer.
- Remember Remember this check in the Autoentry List or remember its
- Code and Memo in the Codes-memos list. Remembering in the
- Autoentry List also remembers the Address.
- Year Select the Previous or the Next year. This allows you to
- view another year with unprinted checks.
-
- 14
-
-
- Reprinting Checks
- -----------------
- When you edit a check with a Check Number assigned in the Register Screen,
- changing its Check Number to ***** makes it an unprinted check. Then you
- can reprint it with (Global/Printcheck).
-
-
- Ordering Checks
- ---------------
- You can customize Cash Control to support a variety of computer checks.
- Cash Control also supports the following preset check formats:
- - #091050 Tractor Feed Check (6" x 2 5/6")
- - #091004 Tractor Feed Check (8 1/2" x 7")
- - #081004 Laser Check (8 1/2" x 7")
-
- You can order these from:
-
- DELUXE Computer Forms & Supplies
- 1275 Red Fox Road Call Toll Free: 1-800-328-0304
- P.O. Box 64046 In Canada: 1-800-826-3714
- St. Paul, MN 55164-0046 In Minnesota: 1-612-631-8500
- U.S.A.
-
- When ordering checks, indicate Key Code X00029 so DELUXE knows that
- you are ordering checks for Cash Control.
-
- 15
-
-
- Autoentry and Codes-memos Lists
- -------------------------------
-
-
- Remembering Transactions, Codes and Memos
- -----------------------------------------
-
- Remembering Transactions
- When you have a transaction that occurs frequently, you can remember it
- in the Autoentry List. At the Register Screen, move the Moving Bar to
- the desired transaction and select (Row/Remember/Autoentry). The
- transaction is added to the end of the Autoentry List.
-
- Remembering Codes and Memos
- You can remember the Code and Memo field of a transaction in the Codes-
- memos List by selecting (Row/Remember/Codes-memos).
-
-
- Using the Codes-memos List
- --------------------------
- This list contains Codes and their related Memo descriptions that you
- frequently use. For example, if you are writing a check for car insurance
- and you can't remember the proper code or memo to use, consult the Codes-
- memos List.
-
- You may have up to 100 entries in the Codes-memos List. This list can be
- used to help you choose the same Codes and Memos in all data files. The
- list is sorted alphabetically.
-
- You can view, add, edit or delete Codes and Memos by selecting
- (Global/Codes). A pop up window appears displaying your Codes and Memos.
- The following commands are available:
- Add Add a new Code-memo to the list. You must enter the Code
- field. The Memo field is optional. Add a unique code and
- memo pair. You can add the same code several times as long
- as the Memo field is different. Enter the Code Type
- (Income, Expense or neither).
- Row/Edit Edit this Code-memo.
- Row/Delete Delete this Code-memo.
-
- Code Type (Income, Expense or neither)
- Setting the Code Type tells Cash Control whether this is an Income or
- Expense code. For example, you spend money on Clothes most months. One
- month, you may return clothes to the store for a refund and receive
- money. To make sure that Cash Control thinks this is always an expense,
- set the Code Type to E for Expense.
-
- Sometimes you will want to leave the Code Type blank. An example is for
- Funds Transfer. When transferring funds between a checking and savings
- account, you want it recorded neither as an expense nor as income. In
- this case leave the Type field blank.
-
- 16
-
-
- Other examples of leaving the Code Type blank are for refundable
- payments. An example is for Medical payments where you expect to get a
- refund later from your insurance company. Here, you don't want the
- payment to add to your expenses nor the refund to add to your income. If
- a partial refund is received, you can Split the transaction as shown in
- the section Splitting Transactions. The non-refundable portion can have
- an Expense Code Type so it will be included in your expenses.
-
- Using Codes and Memos in Entry Windows
- The use and Select commands are not operable unless this window overlays
- another window such as Withdraw, Deposit or Checkwrt. If you are viewing
- windows like these, press [F3] to view the Codes-memos List. While
- viewing the Codes-memos List, press [Enter] to copy the Code-memo marked
- by the Moving Bar into the window. If you use (Select), you can choose
- whether to copy the Code only, Memo only or both in the window.
-
-
- Retrieving Matching Transactions
- --------------------------------
- To save on keystrokes, you can retrieve transactions from the Autoentry
- List. For example, if you are writing a check for "Dick's Auto Repair"
- from the Withdraw window, type "di" in the Description field and press
- [F4]. If the Autoentry List has a transaction called "Dick's Auto Repair",
- it will be copied into this entry window.
-
- In the above example, the Autoentry List is searched for all transactions
- that start with the letters "di". Several matches may occur. When this
- happens, you are informed of the number of occurring matches. Press [F4]
- repetitively until you see the transaction you want.
-
- (Withdraw), (Deposit), (Checkwrt), (Row/Edit) and (Row/Split) commands
- allow you to retrieve matching transactions.
-
-
- Using the Autoentry List
- ------------------------
- You record frequently used transactions in the Autoentry List. This
- section shows you how to work with it.
-
- Viewing the Autoentry List
- To view the Autoentry List, select (Autoentry) from the Register Screen.
- There are actually two Autoentry Lists; one for Withdrawals and one for
- Deposits. Select (Listchg) to switch lists.
-
- Leaving the Autoentry List
- Press [Esc] to exit the Autoentry List and return to the Register Screen.
-
- Adding Automatic Transactions
- Select (Add) to add a transaction to the Autoentry List. A pop up window
- appears. Key in the data and press [Enter]. Fields identified with an *
- are optional.
-
- The Amount field should be filled in for fixed payments like your
- mortgage. Grocery bills are variable, so leave 0 in the amount field.
-
- 17
-
-
-
- Editing Automatic Transactions
- Select (Row/Edit) while viewing the Autoentry List to edit an Automatic
- Transaction. Make your changes and press [Enter].
-
- Setting the Address
- If you want Addresses printed on your checks, you can enter the
- addresses of reoccurring checks in the Autoentry List. Later when you
- use (Checkwrt), the saved Address will appear. Select (Row/Address) to
- add or edit Addresses of an Automatic Transaction.
-
- You may save up to 50 Addresses in the Autoentry List.
-
- Deleting Automatic Transactions
- Select (Row/Delete/Delete) while viewing the Autoentry List to delete an
- Automatic Transaction.
-
- Moving Automatic Transactions
- Steps
- 1. Move the Moving Bar to the transaction to be moved.
- 2. Select (Row/Move).
- 3. Move the Moving Bar to the destination transaction and press
- [Enter]. The transaction is moved after the destination
- transaction.
-
- Preventing Check Numbers on (Withdraw)
- Whenever you use (Withdraw), a Check Number usually appears in the Check
- Number field. You can press [Alt]+[C] to clear this field, but some
- withdrawal transactions never need a Check Number. Examples are Cash
- withdrawals or Electronic Funds withdrawals. While viewing the Autoentry
- List, select (#) by pressing # to prevent a Check Number from appearing
- when using (Withdraw) on this transaction.
-
- Selecting (#) repetitively toggles the # indicator.
-
-
- Entering Automatic Transactions into Your Account
- -------------------------------------------------
- Select (Withdraw), (Deposit), or (Checkwrt) while viewing the Autoentry
- List to enter an Automatic Transaction in your account. Enter your data in
- this window in the same fashion as you would from the Register Screen.
-
- Change Months
- You can change the month shown in the upper left corner of the Autoentry
- List by pressing Cursor Left or Cursor Right. This is the default month
- value when using (Withdraw), (Deposit), or (Checkwrt).
-
- 18
-
-
- Transaction Reminder
- --------------------
- The Transaction Reminder feature tells you when it's time to pay bills or
- when deposits should occur. Choose an Automatic Transaction with the
- Moving Bar. Select (Notify/Yes) to view the Notify Yes window. In this
- window, enter:
- 1. Repeat
- This tells Cash Control how often this transaction occurs. For
- example, enter M for a monthly repetition. Other repetition choices
- are listed in the Notify Yes window. P for Postdate is a special case.
- Use it to remind you of a single payment or deposit due in the future.
- 2. Starting Month, Day and Year
- This is the date of the first occurrence of this transaction.
- Succeeding occurrences are based on the Repeat value. Setting the Day
- value to 31 tells Cash Control that this transaction should occur on
- the last day of the month. (for Monthly, Bimonthly, Quarterly,
- Semiannually, and Annually Repeats only)
-
- Press [Enter] and you see an On indicator appear under the Nt column of
- the screen. This means that Notification is On for this transaction.
-
- Changing Display Modes
- Select (Mode) while viewing the Autoentry List and you see the date when
- each Automatic Transaction is due. In this mode, the Due date, Repeat
- value and AN column are visible. The AN column is be discussed later.
- Select (Mode) again to view the Memo and Code fields.
-
- The Due indicator
- This indicator appears on the lower right of the display screen when you
- have Automatic Transactions that are due for payment or deposit. The
- Autoentry List indicates which items are overdue by displaying the
- number of overdue occurrences under the O column. Move the Moving Bar
- to this transaction and select (Withdraw), (Deposit), or (Checkwrt).
- After using one of these commands, notice that the overdue occurrence
- number is one less than before. The due date is updated to the next
- time this transaction occurs. This indicator disappears when there
- are no more overdue occurrences.
-
- Advanced Notification
- Cash Control will remind you up to a month in advance of the due date.
- After setting the Notification date for a transaction, you can select
- (Notify/Advnotice) and enter the number of days of advanced notification.
- For example, if you want 10 days of advanced notice for your Mortgage
- payment, select (Notify/Advnotice) and enter 10. The Due indicator will
- turn on 10 days prior to the actual due date of your Mortgage payment.
- Each Automatic Transaction may have a different value for advanced
- notice. This value appears under the AN column of the screen and may be
- changed by selecting (Notify/Advnotice) again.
-
- 19
-
-
- Turning Off Notification
- Select (Notify/No) to turn off notification for a selected transaction.
-
- Transaction Reminder Across Years
- The Transaction Reminder feature works across the years. Sometimes you
- may see a PY or an NY indicator under the O column. PY tells you that
- the occurrence is in a Previous Year. NY means the Next Year. Normally,
- you should select the correct year before entering the transaction in
- your register. For example, if you are viewing 1991 and see PY for a
- transaction, you should enter it from the year 90. Cash Control does
- allow you to enter it from the viewed year if you wish.
-
- 20
-
-
- Other Register Screen Commands
- ------------------------------
-
-
- Transferring Funds
- ------------------
- You can transfer funds from one account to another. This includes
- transfers between bank accounts and charge accounts. For example, Tom
- wants to write a check for a payment to his Visa account:
- 1. While viewing "Tom's Checking Account", he writes a check to his Visa
- charge company for $57.
- 2. He selects (Row/Transfer) when the Moving Bar is on this transaction.
- 3. At the File Selection window, he selects "Tom's Visa Charge" as the
- destination account.
- 4. Cash Control adds an opposite transaction in "Tom's Visa Charge". In
- this case, this is a deposit of $57 which shows that a payment is made
- to the Visa charge account.
-
- Similarly, transfers may be used between other accounts like a transfer of
- funds from Savings accounts to Checking accounts.
-
- Additional Transfer Rules
- - Transferring a Cleared or Just Cleared transaction produces an
- uncleared transaction in the destination account.
- - Each account has a Transfer Area containing up to 4 transferred
- transactions. They are removed from the Transfer Area whenever you Use
- this account.
- - Once the transfer has taken place, if you edit a transferred
- transaction, the opposite transaction in the other account will not
- change without editing it manually.
-
-
- Splitting Transactions
- ----------------------
- Sometimes, splitting a transaction may be necessary. For example, you
- might withdraw $100 in cash split into:
-
- - $25 spending money
- - $50 groceries
- - $25 gas for the car
-
- Steps
- 1. Select (Withdraw) and enter a transaction called "Cash Withdrawal".
- This is called the Primary transaction.
- 2. Select (Row/Split) and enter the first Split transaction called
- "Spending Money" for $25.
- 3. Select (Row/Split) again. This time enter "Groceries" for $50.
- 4. Repeat once more for gas for the car.
-
- Notice that the amount of the Primary transaction equals the sum of its
- Split transactions.
-
- While viewing the Split window, use [F3] to view the Codes-memos List and
- use [F4] to retrieve a matching transaction.
-
- 21
-
-
- You may have up to 10 Split transactions for each Primary transaction. You
- may edit or delete them similar to normal transactions. Just move the
- Moving Bar to the desired transaction and select (Row/Edit) or
- (Row/Delete/Delete).
-
- Split Transaction Rules
- - When you split a transaction, the Code field for the Primary
- transaction is blanked out. This prevents the possibility of double-
- counting.
- - When splitting, the Tax field is inherited from the Primary
- transaction.
- - Cash Control warns you when Split transactions have the same
- Description or Memo field as the Primary transaction. Avoid this to
- prevent the possibility of double-counting.
-
-
- Moving Transactions
- -------------------
- Use this command to re-order transactions that occur on the same day.
- Also, you can re-order your Split transactions. To move a transaction:
- 1. Locate the Moving Bar on the transaction to be moved.
- 2. Select (Row/Move).
- 3. Move the Moving Bar to the destination transaction.
- 4. Press [Enter] and the transaction is moved after the destination
- transaction.
-
-
- Searching for Transactions
- --------------------------
- The Search command lets you find a transaction anywhere within the year.
- You can find transactions by searching for a matching:
- - Check Number (####)
- - Description
- - Amount
- - Code
- - Memo
- - Taxable transactions
- - Cleared or Uncleared transactions
-
- Select (Global/Search). Then enter what you are searching for in the
- Search window. The following shows how to search for a transaction with
- an amount of $34.62:
- 1. Type 34.62 in the Amount field of the Search window.
- 2. Press [Enter] to search forwards for a transaction matching $34.62.
- You can press [F10] instead of [Enter] to search forwards. Press
- [F9] to search in a backwards direction.
-
- 22
-
-
- After the search is performed, you can repeat the search from the Register
- Screen by pressing [F9] or [F10] again. Similarly, you can search for
- transactions with matching Check Numbers, Descriptions, Codes, Memos, Tax
- indicators or Cleared items.
-
- Multiple Field Searches
- You can do Multiple Field Searches. To search for all uncleared
- transactions with a code field of "food", type food in the Code field
- and type N in the Cleared Item field. Start the search by pressing [F9],
- [F10] or [Enter]. You can search with combinations using other fields as
- well.
-
- Wildcard Searches
- You can do Wildcard Searches by pressing [F8] while the cursor is on the
- designated field. For example, if "bi" and [F8] are typed while on the
- Memo field, Cash Control will find transactions with memo fields of "Gas
- Bill", "New Bicycle" or "Utility Bill". A "W" indicator is turned on
- when a Wildcard Search is on for a given field. Press [F8] again to turn
- it off.
-
- Clear Search Window Fields
- When you enter the Search window again, the old search values remain in
- the entry fields. Press [F5] to clear the fields.
-
-
- Viewing Available Memory
- ------------------------
- Select (Global/Memory) to view how much memory is available for
- transactions. This window also shows how many transactions are in this
- year for this account. Press any key to exit this window.
-
- 23
-
-
- After the First Year
- --------------------
-
-
- Creating a New Year of Transactions
- -----------------------------------
- Select (Year/neWyear) when you are reaching the end of a year and want to
- create a new year for transactions. As a precaution for selecting
- (Year/neWyear) by mistake, you are asked to:
-
- Create year 91 for Joe's Checking Account? Yes No
-
- Select (Yes) to create a new year.
-
-
- WARNING
- When using diskettes for storing your data, make sure that you
- don't open the drive door while creating a new year. This could
- seriously damage your data files and require you to restore them
- from your backup copy.
-
-
- After creating the new year, you can still change the old year. Cash
- Control carries over the balance to the new year.
-
- For each account, the newest 2 years are Active Years. Older years are
- Archived. For example, if 4 years of data exist for Joe's Checking
- Account; 1989, 1990, 1991 and 1992. 1991 and 1992 are Active Years. 1989
- and 1990 are Archived. A limited set of Cash Control commands are
- available for Archived years. Similar to Active Years, you can View, Edit
- transactions, Search and make Reports. You can't Add, Delete or Split
- transactions.
-
-
- Moving Through the Years
- ------------------------
- When you have more than one year for an account, you can change years by
- selecting:
- (Year/Next) View the next year.
- (Year/Previous) View the previous year.
- (Year/Select) Choose a specified year.
-
- (Year/Next) and (Year/Previous) also work while in Global/Balance, the
- Autoentry List or Global/Printcheck.
-
- 24
-
-
- Charge Accounts
- ---------------
-
-
- Cash Control allows you to create and manage Charge Accounts. Typical
- charge accounts are for credit cards like Visa or Master Card. You manage
- charge accounts using the same commands as checking or savings accounts.
-
- Creating a Charge Account
- Create a Charge Account using (File/Add). Be sure to type Y in the
- Charge Account field. Also, enter a negative amount in the Starting
- Balance field if you owe money.
-
- Entering Charges
- Select (Withdraw) when you charge items to the account. Select
- (Withdraw) whenever interest is charged against the account.
-
- Making Payments
- Select (Deposit) when you make payments to your charge card company.
-
- Other Commands
- You can use other commands when necessary such as (Global/Search),
- (Row/Split), etc. Also use (Global/Balance) to balance your account with
- your Charge Statement. You can use the Codes-memos List and the
- Autoentry List.
-
- Making Reports
- You can make Reports with your Charge Account transactions. They may be
- combined in Reports with checking and savings accounts. Reports will
- account for a Charge in the same way as a check from a checking account.
-
- 25
-
-
- Working with Your Account Files
- -------------------------------
-
-
- Changing an Account's Title
- ---------------------------
- From the Accounts File Menu select (Row/Edit). A window appears for you to
- change the Account File Title. Press [Enter] when finished.
-
-
- Changing the Order of Account Files
- -----------------------------------
- At the Accounts File Menu, you can change the order of your accounts.
- Order them any way you wish. A suggestion is to place the most frequently
- used accounts at the top of the screen.
-
- To move an account entry:
- 1. Move the Moving Bar to the account to be moved.
- 2. Select (Row/Move).
- 3. Move the Moving Bar to the destination account and press [Enter].
- The account is moved after the destination account.
-
-
- Deleting an Account File
- ------------------------
- Account file entries may be deleted from the Accounts File Menu. Move the
- Moving Bar to the desired account and select (Row/Delete/Delete). Only the
- entry is deleted. You must use the DOS ERASE command to erase the actual
- data files on disk.
-
- 26
-
-
- Reports
- -------
-
-
- You can find out where your money went using Cash Control Reports. You can
- create a variety of reports using the transactions you entered in your
- accounts. From the Main Menu, select (Reports) and you see the Reports
- Menu. This menu presents you with 5 report choices:
-
- A Account Register Print Out
- Print out an Account Register on your printer. The result looks like a
- checkbook register. Two report styles are available.
-
- B Matching Transaction Report
- Report the transactions that matched your search criteria. For
- example, list all payments made to Sears for clothing between February
- and August of 1990.
-
- C Monthly Amounts Report
- Total up the amounts of transactions for each month selected. For
- example, find out the amount spent on Clothing for each month of 1990.
-
- D Code Summary Report
- Total up the amounts for all Code categories used over a specified
- period of months. This report shows you where your money is being
- spent.
-
- E Tax Summary Report
- Use this report at tax time to total up taxable transactions. They are
- totalled by Code so be sure to organize this well in advance.
-
- You can select one of these five reports by pressing the letter preceding
- the report name. For example, press [B] to select the Matching Transaction
- Report.
-
- Press [Esc] while viewing the Reports Menu to return to the Cash Control
- Main Menu.
-
-
- Using the Report Menus
- ----------------------
- While viewing the Report Menus, some or all of the following fields may be
- entered. Remember to press [F1] to get help on a particular menu.
-
- Before you print your first report, set up your printer port and printer
- type at the Program Options Menu.
-
- Account Data Files
- Press [F7] to select the Account Data Files for this report.
-
- Report Dates (mm-yy)
- Enter the starting and ending month and year for this report. The dates
- may span up to a maximum of 5 years.
-
- 27
-
-
-
- Compressed Print (Y/N)
- You can choose Compressed Print for special report effects for the
- Account Register Print Out.
-
- To (S=screen/P=Printer)
- Specify whether you want the report to go to the display screen or to
- the printer.
-
- Type (D=dep/W=withdraw/B=both)
- Indicate whether the report should include Deposits only, Withdrawals
- only, or both Deposits and Withdrawals.
-
- ####, Description, Code, Memo, Tax Item, Cleared Item
- Enter the search keys for the Matching Transaction Report and the
- Monthly Amounts Report. They tell Cash Control what transactions to
- search for. This works similar to the Accounts (Global/Search)
- command. You can press [F8] to toggle the Wildcard Search indicator.
- Also, you can press [F3] to view and select from the Codes-memos List.
-
- Clear All Entry Fields
- Press [F5] to clear all entry fields.
-
- Some Restrictions
- - The Matching Transaction Report has a maximum of 100 matching
- transactions. If more than 100 are found, restrict the Report Dates to
- fewer months or reduce the number of Account Data Files.
- - The Code Summary Report and Tax Summary Report are limited to a
- maximum of 200 different codes. If you ever reach this number,
- restrict your Report Dates or data files to reduce the number of codes
- found.
-
-
- Viewing Reports on the Screen
- -----------------------------
- While viewing a report, press [F1] to get help describing the various
- report headings.
-
- Some reports may have several pages of data. Use [PgDn] and [PgUp] to view
- the other pages. Cursor Up and Cursor Down scroll one line at a time.
- Press [Home] to view the first page. Press [End] to view the last page.
- Press [Esc] to exit the report.
-
- Graphing Your Income or Expense Trends
- While viewing the Monthly Amounts Report, press [F4] to view a Bar Chart
- showing trends in your income or expenses. The dotted line marked with A
- indicates the average amount over the selected Report Dates.
-
- 28
-
-
- Viewing the Code Summary or Tax Summary Reports
- While viewing either of these reports, press [F3] to view the Codes-
- memos List. The C-m column of the report shows you the codes that are
- not in the Codes-memos List. You can add these codes directly to the
- Codes-memos List if you wish.
-
- While viewing these reports, the %Type column shows how your income and
- expenses are spread. For an Expense code, this is its ratio of all
- Expense codes. For an Income code, this is its ratio of all Income
- codes. When ***.**% is visible in this column, this means that this is
- either an Expense code with more money coming "in" or an Income code
- with more money going "out". When this happens, this code is ignored
- when summing all Expense or Income codes.
-
- While viewing these reports, press [F4] to view a Pie Chart of these
- percentages.
-
-
- Making Quick Reports
- --------------------
- Cash Control gives you the ability to make reports while viewing or
- updating your accounts. While these reports are limited in capability when
- compared to the Reports Menu, they can be made quickly and easily.
-
- At the Register Screen, move the Moving Bar to the desired transaction and
- select (Global/Quickreport). Next, select one of the following:
- Description Make a report based on a matching Description.
- Code Make a report based on a matching Code.
- Memo Make a report based on a matching Memo.
-
- A window appears with the Quick Report. Press any key to exit.
-
- Repeat Report
- Select (Global/Quickreport/Repeat) to produce the same report again.
- This comes in handy when you want to make the same report after switching
- years or changing Accounts.
-
- 29
-
- Changing the Program Options
- ----------------------------
-
-
- The Cash Control Program Options Menu allows you to change the program
- settings. These are contained in the file CASHC.PRO.
-
- Select (Options) from the Main Menu to get to the Program Options Menu.
- Three pages of options are available. Use [PgUp] or [PgDn] to change
- pages.
-
- Changing an Option
- Move the Moving Bar to the desired option and select (Edit). Follow the
- instructions to change the setting. Changes are saved to disk when you
- exit this menu.
-
- Explaining More About an Option
- Press [X] for an explanation of the option marked by the Moving Bar. As
- you move the Moving Bar, the explanation changes to match the selected
- option. This window remains on the screen until you press [X] again to
- turn it off.
-
- Exiting
- Press [Esc] to exit the Program Options Menu.
-
-
- Turning on the Color
- --------------------
- The default color setting is White on a Black background. To change this,
- edit the Screen Colors Choice option at the Program Options Menu. This has
- no effect on Monochrome or Black & White monitors.
-
- 30
-
-
- Hints and Tips
- --------------
-
-
- Postdated Checks
- ----------------
- Cash Control has 2 ways of handling postdated checks:
-
- 1 Using the Transaction Reminder Feature
- Rather than writing out a postdated for some time in the future, you can
- write this check when it becomes due. The Transaction Reminder feature
- will tell you when it is due, up to a month in advance.
-
- 2 Write a Postdated Transaction Directly into Your Account
- You can write a check, using (Checkwrt) or (Withdraw), setting the
- transaction date to a date in the future. This transaction is added to
- your account. Notice that your Ending Balance for this account changes.
- Keep in mind that the Ending Balance includes postdated checks.
-
-
- Program Color Control
- ---------------------
- Cash Control uses the current DOS Mode setting to determine whether the
- program should display in Monochrome, Black & White or Color.
-
- MODE MONO Display in Black & White or Monochrome.
- MODE BW40 Display in Black & White.
- MODE BW80 Display in Black & White.
- MODE CO40 Display in Color.
- MODE CO80 Display in Color.
-
- If you have a color display and see a Black & White screen, use the Program
- Options Menu to turn the color on. If you still don't see colors, enter
- MODE CO80 at the DOS prompt prior to entering Cash Control.
-
- If you have a Black & White display and Cash Control screens are not
- clearly visible, enter MODE BW80 at the DOS prompt. Restoring CASHC.PRO
- from the Program diskette also could solve the problem.
-
-
- The Files on Your Program Diskette
- ----------------------------------
- CASHC.EXE Executable program code
- CASHC.OVR Program overlay code
- CASHC.PRO Profile for program settings
- CASHC.COD Account Codes and Memos and Account index information
- CASHC.HLP Help text file
- CASHC.DOC Program Documention in ASCII
- SAMPLE.ATO Sample data file index
- SAMPLE90.ACC Sample data file for 1990 transactions
- README Last minute documentation changes
- INSTALL.BAT Installation batch file
- CGA.BGI Graphics driver file (CGA & MCGA)
-
- 31
-
-
-
- Files on Dual Diskette Drives
- -----------------------------
- If you operate Cash Control on a system with Dual Diskette Drives, follow
- these tips:
- - Place your Data Files on the drive with the largest capacity.
- - Separate the Program Files from your Data Files as in the following
- example.
-
- DRIVE A (360KB) DRIVE B (720KB)
- CASHC.EXE TOM.ATO
- CASHC.OVR TOM90.ACC
- CASHC.HLP TOM89.ACC
- CASHC.PRO TOM88.ACA
- CASHC.COD JANE.ATO
- CGA.BGI JANE90.ACC
- EGAVGA.BGI
-