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- ┌───────────────────────────────────────────────────────┐
- │ ┌───────────────────────────────────────────────────┐ │▒
- │ │ │ │▒
- │ │ Interstellar Systems, Inc. │ │▒
- │ │ │ │▒
- │ │ Business Accounting System Rev. 1.0 │ │▒
- │ │ │ │▒
- │ │ Copyright (c) 1992 │ │▒
- │ │ │ │▒
- │ │ All Rights Reserved │ │▒
- │ │ │ │▒
- │ │ Software and Documentation by: │ │▒
- │ │ │ │▒
- │ │ Richard O. Duke │ │▒
- │ │ │ │▒
- │ │ │ │▒
- │ └───────────────────────────────────────────────────┘ │▒
- └───────────────────────────────────────────────────────┘▒
- ▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒
-
-
-
- Business Accounting System Rev. 1.0 i
-
-
- TABLE OF CONTENTS
-
- ┌──────────────────────────────────────────────────────────────┐
- │ │
- │ I. INTRODUCTION ................................. 1 │
- │ System Features .............................. 3 │
- │ Backing Up the System Files .................. 8 │
- │ │
- │ II. INSTALLATION ................................. 8 │
- │ Installation Screen .......................... 10,91 │
- │ Invoice Print Customization .................. 13 │
- │ System Main Menu ............................. 15 │
- │ Exiting the System ........................... 15 │
- │ │
- │ III. ITEM FILE MAINTENANCE ........................ 17 │
- │ Create Item Codes ............................ 18,43 │
- │ Retrieve Item Codes .......................... 20 │
- │ Modify Item Codes ............................ 21 │
- │ │
- │ IV. CLIENT FILE MAINTENANCE ...................... 24 │
- │ Create Clients ............................... 24 │
- │ Retrieve Clients ............................. 27 │
- │ Modify Clients ............................... 28 │
- │ Client Print Menu ............................ 30 │
- │ Print Client Work Orders ..................... 31 │
- │ Print Client Profile Sheet ................... 33 │
- │ Print Client Mailing Label(s) ................ 33,79 │
- │ Print Client Activity Reports ................ 34 │
- │ Print Client Statement(s) .................... 36,74 │
- │ │
- │ V. CLIENT ACCOUNTING MENU ....................... 39 │
- │ Create Client Invoices ....................... 39 │
- │ Print Client Invoice(s) ...................... 47,77 │
- │ Review Client Invoices and Reprint ........... 47 │
- │ Enter Accounts Receivable Payments ........... 51 │
- │ Post Prepayment Deposits ..................... 54 │
- │ Post Payment Reversing Entries ............... 54 │
- │ Apply Credits ................................ 56 │
- │ Post Write-off Adjustments ................... 58 │
- │ │
- │ VI. BUSINESS EXPENSES ............................ 62 │
- │ Expense Category Maintenance ................. 62 │
- │ Create Expense Distributions ................. 64 │
- │ Review Expense Distributions ................. 68 │
- │ │
- │ VII. MISCELLANEOUS FUNCTIONS │
- │ Assess Client Finance Charges ................ 71 │
- │ Print Client Statements ...................... 74,36 │
- │ Period and Year-end Closing .................. 76 │
- │ Print Client Invoices ........................ 77,47 │
- │ Print Client Mailing Labels .................. 79,33 │
- │ │
- │ │
- └──────────────────────────────────────────────────────────────┘
-
-
- Business Accounting System Rev. 1.0 ii
-
-
- TABLE OF CONTENTS - Continued
-
- ┌─────────────────────────────────────────────────────────────┐
- │ │
- │ VIII.SYSTEM REPORTS ............................... 80 │
- │ File Listings ................................ 81 │
- │ Client File Listing .......................... 81 │
- │ Item Code Listing ............................ 82 │
- │ Expense Category Listing ..................... 83 │
- │ Report Registers ............................. 83 │
- │ Invoice Sales Register ....................... 84 │
- │ Payments Register ............................ 84 │
- │ Sales Tax Liability Register ................. 85 │
- │ Report Analyses .............................. 86 │
- │ Open Receivables Analysis .................... 87 │
- │ Client Sales Analysis ........................ 88 │
- │ Items Sales Analysis ......................... 89 │
- │ │
- │ IX. SYSTEM UTILITIES ............................. 90 │
- │ Reindex Files ................................ 90 │
- │ Change System Date ........................... 90 │
- │ System Installation Screen ................... 91,10 │
- │ Recalculate File Balances .................... 91 │
- │ │
- │ X. Appendices ................................... 92 │
- │ Networking on a Local Area Network ........... 92 │
- │ Networking Considerations .................... 92 │
- │ System Reset Utility (BASYSRES.EXE) .......... 92 │
- │ Thank You .................................... 94 │
- │ User Registration Form ....................... 95 │
- │ │
- │ │
- └─────────────────────────────────────────────────────────────┘
-
-
- Business Accounting System Rev. 1.0 Page 1
-
- LICENSE
-
- The Business Accounting System is not public domain or free
- software, but is being distributed as shareware. Non-registered
- users, who have obtained a copy of this software directly or
- indirectly via an electronic bulletin board service, are granted
- a limited 30-day license to make an evaluation copy for trial use
- for the purpose of determining whether the BA System is suitable
- for their needs. At the end of this evaluation period, you must
- register the software in order to continue using it, otherwise,
- you must discontinue use of it. Current registration fees are as
- follows:
-
- Single-user license: $ 50.00
- Multi-user license: $ 95.00
-
- A form for registering the BA System can be found in the appendix
- section of this manual. These fees are subject to change without
- prior notice from Interstellar Systems, Inc..
-
- This software is not crippled in any way. If you continue to use
- it without registering it, it will continue to function.
- Remember, the shareware concept depends upon the honesty and
- integrity of each of you.
-
- Without obtaining the source code directly from Interstellar
- Systems, Inc., you may not modify this software for any reason,
- in any way, including but not limited to decompiling-compiling,
- patching, disassembling, or reverse engineering the program.
-
- You are free to distribute this software to others subject to the
- above stated conditions and the following:
-
- * The BA System must be copied in unmodified form, including the
- file containing this license information.
-
- * Complete documentation must be included.
-
- * No fee or remittance, of any type, for distribution of this
- software, may be assessed or accepted by any person or
- organization without the expressed written consent of
- Interstellar Systems, Inc..
-
- * This software may not be distributed with any other software or
- hardware product(s) without the expressed written consent of
- Interstellar Systems, Inc..
-
-
- DISCLAIMER
-
- Interstellar Systems, Inc. makes no representations or warranties
- with respect to the fitness or merchantable usefulness of this
- software for any particular purpose, expressed or implied.
- Further, Interstellar Systems, Inc. reserves the right to revise
- this documentation and programs without obligation to notify any
- person or organization of such revisions.
-
- Business Accounting System Rev. 1.0 Page 2
-
- TRADEMARK NOTICE
-
- The Business Accounting System is a trademark of Interstellar
- Systems, Inc.. IBM PC, XT, AT, PS/2 and PC-DOS are trademarks of
- International Business Machines Inc.. MS-DOS is a trademark of
- Microsoft Corporation. All other trademarks belong to their
- respective owners.
-
- FOREWORD
-
- This software was originally developed for use by my own software
- consulting company because I felt too many of the other
- accounting software packages were written for all types of
- businesses, big and small, retail and service oriented. I didn't
- want to pay for features I wouldn't be using, I didn't want these
- features cluttering up my screens, I wanted a software written
- specifically for a small service type of business, and I wanted a
- package that I had confidence in.
-
- If you also have a small consulting of business, this accounting
- software package may be just what you've been looking for. It's
- not intended to replace your accountant, only to make his/her job
- easier at tax time and save you money in professional fees, while
- at the same time, make your job of bookkeeping easier, less prone
- to error, and provide you with information concerning the
- financial status of your company at the touch of a key.
-
- So, have as much fun and satisfaction using it as I've had
- developing it!
-
-
- PREFACE
-
- The purpose of this System is to track and report revenues and
- billings, accounts receivables, and business expenses for a small
- service/consulting type of business, for both the current and
- previous tax years. Client billings are recorded and maintained
- via an Accounting Menu option available from within each client
- screen.
-
- The invoicing mechanism includes the ability to perform point-of-
- entry editing thereby allowing you to make corrections up to the
- point you instruct the software to save the invoice to the live
- system files. Once saved, the invoice may then be immediately
- printed, or you may defer printing to a batch mode if you so
- desire.
-
- Invoices may also be reviewed and edited if necessary from the
- Accounting Menu. You may review, edit, void, or reprint any
- invoice so long as it was created within the current year. Also
- from the Accounting Menu, payments and credits can be posted or
- applied toward any open invoices, or they can be set up as
- prepayment deposits for future application to invoices.
-
- Business Accounting System Rev. 1.0 Page 3
-
- For expense tracking, you first need to define and create all
- applicable expense categories (accounts), such as Office
- Supplies, Professional Journals, Purchases, Cost of Goods Sold,
- etc.. Then as you incur any business expenses, you should post
- these in the form of Expense Distributions. The distribution
- mechanism allows you to distribute a single expense amount across
- multiple expense categories. Once expense distributions are
- posted, you can generate an Expense Register for any period of
- time subtotaled by expense category, or by reporting period.
-
- In order to keep the data files properly configured, you must
- perform a period closing (monthly or quarterly) on a regular
- basis. When you close-out the last period of the current year,
- the previous year's revenue and expense data (assuming any
- exists) will be purged. The current year's revenue and expense
- data will then be appended (added) to the history files, then the
- current year files will be purged in preparation for the new tax
- year.
-
- If you wish to maintain information prior to the previous year's
- history, you must do so in the form of archival system backups.
- This would be a backup which you create prior to closing the
- current period and year. You should label it as such, and put it
- in a safe (fire-proof and water-proof) place such as a safe
- deposit box.
-
-
- FEATURES
-
- In accomplishing the tasks of revenue and expense tracking, the
- following features are provided:
-
- * Unlimited number of clients, billing items, and expense
- categories (accounts) [limited only by hard disk storage].
-
- * Advanced menu-driven light-bar menus and look-up windows which
- make using the software a breeze.
-
- * Supports up to 12 reporting periods for revenues and expenses
- and allows posting of each to any period within the current year.
-
- * User-definable expense categories for expense distribution.
-
- * Generates finance charges for past due accounts and ages
- accounts receivables within user-defined aging windows.
-
- * Prints accounts receivable statements for preprinted forms
- available from Rapid Forms and Harland Printing.
-
- * Utilizes variable length, supplemental invoice line item
- descriptions allowing you to detail exactly what you're billing
- for, word for word.
-
- * Supports user-configurable sales tax rates and generates
- monthly Sales Tax Liability Listing for cash or accrual basis of
- accounting.
-
- Business Accounting System Rev. 1.0 Page 4
-
- * Provides a user-configurable invoice print format especially
- suited for plain paper printing.
-
- * Supports point-of-entry invoice editing and printing in
- addition to batch printing of invoices.
-
- * Allows edit, review, and reprint of any invoice generated
- within the current year.
-
- * Supports deposits, prepayments, and overpayments, and allows
- application of any of these towards any open invoice.
-
- * Maintains previous year's history of billings and expenses for
- report generation.
-
- * Provides Client Notepad for posting of notes, reminders, etc..
-
- * Prints client mailing labels.
-
- * Provides file listings of clients, billing items, and expense
- categories; report registers of invoice billings,payments
- received, and business expenses; and sales analyses by client and
- billing items.
-
-
- SYSTEM REQUIREMENTS
-
- IBM or Compatible PC,XT,AT,PS/2 Microcomputer
- 640K or more of RAM
- Hard Disk and Floppy Disk Drive
- 80 Column printer (IBM or Epson compatible)
- PC-DOS/MS-DOS version 2.11 or later
-
-
-
- THE CONFIG.SYS FILE
-
- It is extremely important that the root directory of your boot
- (start-up) drive always contain the file, CONFIG.SYS. This is a
- special system file that allocates system memory and drivers for
- use with different software. It must contain a line to set the
- number of files which can be open to 30 or more (DOS versions
- prior to 3.0 can utilize no more than 20 files). The following
- line must always be present in the CONFIG.SYS file:
-
- FILES = 30 (or more than 30)
-
- If this line is not present, this software may not function
- properly. Be careful when installing other commercial software
- packages on to your machine as they sometimes provide a
- CONFIG.SYS file with their distribution diskette(s). This will
- present a problem only if the above line is not present in their
- CONFIG.SYS file.
-
- For optimal efficiency, you might also want to include the
- following line in the CONFIG.SYS file:
-
- BUFFERS = 8 (or up to 15))
-
- Business Accounting System Rev. 1.0 Page 5
-
- You may have other software on your computer which requires a
- buffer setting greater than 8. This is only a recommended setting
- for this particular software, however, performance may become
- sluggish or "out of memory" errors may occur if you use a setting
- that is too high a number.
-
-
- THE MENU SYSTEM
-
- This software is a menu-driven system utilizing several distinct
- types of menus. In order to accomplish the tasks involved in
- maintenance of this system, you select alpha-numeric choices from
- pull-down or pop-up menu screens and/or windows.
-
- MENU SAMPLE ONE:
-
- ▓▓▓▓▓▓▓▓▓▓▓▓▓▓▓▓▓▓▓▓▓▓▓▓▓▓▓▓▓▓▓▓▓▓▓▓▓▓▓▓▓▓▓▓▓▓▓▓▓
- ▓▓ ▓▓
- ▓▓ ┌──────────────────────────────────┐ ▓▓
- ▓▓ │ │ ▓▓
- ▓▓ │ 1. Add Records │ ▓▓
- ▓▓ │ 2. Edit Records │ ▓▓
- ▓▓ │ 3. Print Report │ ▓▓
- ▓▓ │ Q. Quit (Exit) │ ▓▓
- ▓▓ │ │ ▓▓
- ▓▓ │ │ ▓▓
- ▓▓ │ Enter your selection ==> __ │ ▓▓
- ▓▓ └──────────────────────────────────┘ ▓▓
- ▓▓ ▓▓
- ▓▓▓▓▓▓▓▓▓▓▓▓▓▓▓▓▓▓▓▓▓▓▓▓▓▓▓▓▓▓▓▓▓▓▓▓▓▓▓▓▓▓▓▓▓▓▓▓▓
-
-
- When this menu type appears, the first option would be contained
- in a light-bar (the text "1. Add Records" would be highlighted).
- You may select either 1, 2, 3, or Q depending on the task you
- wish to perform. The system will only allow one these four
- choices.
-
- You may also select a choice from the menu by positioning the
- light-bar which highlights the particular choice. The light-bar
- is easily moved by pressing the UP and DOWN arrow keys located
- on the right side of keyboard. Once you have the light-bar
- positioned over the appropriate choice, you need only press the
- [Enter] key to select that option. Whichever option is
- highlighted by the light-bar will be the option executed.
-
- MENU SAMPLE TWO:
-
-
- ▓▓▓▓▓▓▓▓▓▓▓▓▓▓▓▓▓▓▓▓▓▓▓▓▓▓▓▓▓▓▓▓▓▓▓▓▓▓▓▓▓▓▓▓▓▓▓▓▓▓▓▓▓▓▓▓▓▓▓▓▓
- ▓▓ ▓▓
- ▓▓ ┌───────────────────────────────────────────────┐ ▓▓
- ▓▓ │ │ ▓▓
- ▓▓ │ Select action: A)dd E)dit Q)uit ==> _ │ ▓▓
- ▓▓ │ │ ▓▓
- ▓▓ └───────────────────────────────────────────────┘ ▓▓
- ▓▓ ▓▓
- ▓▓▓▓▓▓▓▓▓▓▓▓▓▓▓▓▓▓▓▓▓▓▓▓▓▓▓▓▓▓▓▓▓▓▓▓▓▓▓▓▓▓▓▓▓▓▓▓▓▓▓▓▓▓▓▓▓▓▓▓▓
-
- Business Accounting System Rev. 1.0 Page 6
-
- In this example, known as a horizontal menu, you select an
- appropriate action based upon the "highlighted" letter of each
- word, usually the first letter. Entering an "A" will allow you to
- add, "E" will allow you to edit, and "Q" will allow you to quit
- or exit.
-
- Note also there is no need to press the [Enter] key after
- entering your selection unless the available space for input (the
- number of characters available for you to enter) exceeds the
- number of characters you have provided.
-
- ▓▓▓▓▓▓▓▓▓▓▓▓▓▓▓▓▓▓▓▓▓▓▓▓▓▓▓▓▓▓▓▓▓▓▓▓▓▓▓▓▓▓▓▓▓▓▓▓▓▓▓▓▓▓▓▓▓▓▓▓▓
- ▓▓ ▓▓
- ▓▓ ┌───────────────────────────────────────────────┐ ▓▓
- ▓▓ │ │ ▓▓
- ▓▓ │ Display or Print report? (D/P) ==> __ │ ▓▓
- ▓▓ │ │ ▓▓
- ▓▓ └───────────────────────────────────────────────┘ ▓▓
- ▓▓ ▓▓
- ▓▓▓▓▓▓▓▓▓▓▓▓▓▓▓▓▓▓▓▓▓▓▓▓▓▓▓▓▓▓▓▓▓▓▓▓▓▓▓▓▓▓▓▓▓▓▓▓▓▓▓▓▓▓▓▓▓▓▓▓▓
-
-
- In the above example, only one (1) character is provided for user
- input. Thus, once a character is entered, there is no need to
- press the [Enter] key. Note also the choices made available for
- this prompt, "D" or "P".
-
- MENU SAMPLE THREE:
-
- ┌──────────────────────── Interstellar Systems, Inc. ──────────────────────┐
- │ 11/22/91 Friday │
- │ Per. 11 Durham Software Services, Inc. │
- │ Business Accounting System │
- │ Copyright (c) 1992 Revision 1.0 │
- └───────────────────────────────> Main Menu <──────────────────────────────┘
- File Updates Printing Reports Utilities
- ┌────────────────────────────┐
- │ ┌─────────────────────────────────────────────────────────────────┐
- │ 1. Cli│ Client ID Client Name Department │▒
- │ 2. Ite├─────────────────────────────────────────────────────────────────┤▒
- │ 3. Exp│ AIFS ACME Insurance & Financial Services Accounting │▒
- │ 4. Dis│ BCSD Better Cleaning Service of Durham │▒
- │ 5. Fin│ CFCPA Caldwell & Franklin, CPA │▒
- │ 6. Per│ DPTS Durham Public Transportation Serv. Reservations │▒
- │ │ NEPA Natl. Endowment for Performing Arts │▒
- └───────│ TCOA Triangle Council on Aging Administration │▒
- │ TIC1 Triangle Insurance Company Accounting │▒
- │ TIC2 Triangle Insurance Company Claims │▒
- │ TIC3 Triangle Insurance Company Underwriting │▒
- └─────────────────────────────────────────────────────────────────┘▒
- ▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒
-
-
- Business Accounting System Rev. 1.0 Page 7
-
- This final type of menu is actually a window and is quite similar
- in nature to the light-bar menu. Some windows are activated by
- the "hot-key" look-up, specifically the F10 key. "Hot-key"
- availability is always indicated with an instruction line to the
- effect of "Press F10 to Look-up". The "hot-key" look-up is
- available for use throughout the BA System so look for its
- availability. Windowing mechanisms, like the one displayed above,
- allow you to view and retrieve existing file information such as
- clients, and billing items.
-
- The windowed area in the above example is the middle portion of
- the screen. This particular window contains a list of clients
- which may be selected or retrieved.
-
- Within the look-up windows, you may press the [Enter] key to
- select the highlighted line, the [Esc] key to abort the lookup,
- the UP and DOWN arrow keys to position the light-bar over the
- appropriate line, or you may press the PageUP and PageDown keys
- to scroll or jump through several lines of the window at a time.
-
- DATA ENTRY
-
- You will enter data into the highlighted data fields that are
- positioned to the right or below the corresponding data labels.
- Unless an entry completely fills a data field, you will have to
- press the [Enter] key to move to the next data field. Should your
- entry fill the data area, the cursor will automatically skip to
- the next field.
-
- ▓▓▓▓▓▓▓▓▓▓▓▓▓▓▓▓▓▓▓▓▓▓▓▓▓▓▓▓▓▓▓▓▓▓▓▓▓▓▓▓▓▓▓▓▓▓▓▓▓▓▓▓▓▓▓▓▓▓▓▓▓
- ▓▓ ▓▓
- ▓▓ ▓▓
- ▓▓ ┌───────────────────────────────────────────────┐ ▓▓
- ▓▓ │ │ ▓▓
- ▓▓ │ Enter Client ID Number =========> ABC1 │ ▓▓
- ▓▓ │ ------ │ ▓▓
- ▓▓ └───────────────────────────────────────────────┘ ▓▓
- ▓▓ ▓▓
- ▓▓ ▓▓
- ▓▓▓▓▓▓▓▓▓▓▓▓▓▓▓▓▓▓▓▓▓▓▓▓▓▓▓▓▓▓▓▓▓▓▓▓▓▓▓▓▓▓▓▓▓▓▓▓▓▓▓▓▓▓▓▓▓▓▓▓▓
-
-
- In the above example, six (6) characters are provided for a
- client number. You have entered the Client ID number "ABC1" which
- is only four characters in length. Therefore, you will have to
- press the [Enter] key to continue if you are not going to fill in
- the remaining two spaces.
-
- THE ESCAPE KEY
-
- Exiting from most of the procedures and menus in this system can
- be accomplished by pressing the [Esc] key. Almost always, the
- [Esc] key will return you to the previous level, even if it is
- not shown as an available choice. Often times too, pressing the
- [Enter] key without entering any characters at system prompts,
- will return you to the previous system level.
-
- Business Accounting System Rev. 1.0 Page 8
-
- THE PAGEDOWN KEY
-
- During full screen edits and updates which require you to make
- several entries, you may find the PageDown key of some use.
- Rather than having to press [Enter] through each data field to
- get past the last entry, you may instead press PageDown. Pressing
- this key will act as a "big Return" and automatically move you
- past the last entry on the screen.
-
- SYSTEM BACKUP
-
- It is of the utmost importance that you routinely backup the
- system files, particularly the files with the extensions DBF and
- DBT. You may of course if you wish, backup all of the files which
- reside on the Business Accounting drive/directory. Program files
- can be recreated by the programmer, but data files (DBF and DBT
- files) can be recreated by no one except you and/or a handy
- Backup set!
-
- When you backup, use a rotating set of backup media (tapes or
- diskettes); the more the better, but at least two sets. Backups
- are not of much use if you consistently copy "trashed" files on
- to the same backup set. By keeping a rotating set of backups, you
- are not confined to restoring the most recent backup in the event
- the most recent backup contains "trashed" files.
-
- Utilize the following guidelines to assist you in determining how
- often you should perform a backup.
-
- ┌───────────────────────────────────────────────────────┐
- │ │▒
- │ │▒
- │ * Backup each day you perform updates to the │▒
- │ system. Whether you do so at the end of the day or │▒
- │ the beginning of the next day makes no difference. │▒
- │ │▒
- │ * Backup before closing the current Period and/or │▒
- │ the current Year. The year-end backup should never │▒
- │ be utilized again for backup purposes. Put it in a │▒
- │ safe place in case it is ever needed for a future │▒
- │ restoration. │▒
- │ │▒
- │ * Backup before generating client finance charges. │▒
- │ │▒
- │ │▒
- └───────────────────────────────────────────────────────┘▒
- ▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒
-
-
- INSTALLING THE BUSINESS ACCOUNTING SYSTEM
-
- To install the BA system, first create a target directory for
- placement of the system files. Once you have created the
- directory, you should then move to that directory. Next insert
- each of the BA system diskettes into your floppy drive, and copy
- all files to the new directory. If this is unclear, from the DOS
- prompt enter the following:
-
- Business Accounting System Rev. 1.0 Page 9
-
- ┌─────────────────────────────────────────────────────────────┐
- │ │▒
- │ C: (change to the C: drive) │▒
- │ MD \BA (Makes a directory called BA) │▒
- │ CD \BA (Moves to the BA directory) │▒
- │ COPY A:*.* (Copy all files from the disk(s) in) │▒
- │ (the floppy disk drive. Repeat this) │▒
- │ (last step for each BA System disk.) │▒
- │ │▒
- └─────────────────────────────────────────────────────────────┘▒
- ▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒
-
-
- STARTING THE BUSINESS ACCOUNTING SYSTEM
-
- You may start the BA System in a couple of different ways. First
- you may move to the drive/directory which contains the BA System
- via DOS commands. For instance, if this system is contained on
- the drive/directory C:\BA, you would change to this
- drive/directory by issuing the following commands from the DOS
- prompt (be sure to press the [Enter] key after each line entry).
-
- ┌────────────────────────────────────────────────────────┐
- │ │▒
- │ C: (changes to the C: drive) │▒
- │ CD \BA (move to the ACCNTING directory) │▒
- │ BA (start the BA system) │▒
- │ │▒
- └────────────────────────────────────────────────────────┘▒
- ▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒
-
- You may of course create a batch file to start the BA System to
- eliminate having to type the above command lines from the DOS
- prompt. Please consult your DOS manual for more information on
- creating batch files.
-
- For those of you with a monochrome (one color) monitor and a VGA
- or EGA adapter card, you may wish to include the "/BW" switch on
- the "BA" command line. Utilizing the "/BW" (black & white) switch
- will force the software into a monochrome mode which will help
- avoid unreadable shades of a single color. For example, to start
- the BA System in the monochrome mode, change the last line in the
- preceding example to the following:
-
- BA /BW
-
- NOTE: If you get an error message indicating that some of the
- files are not present, please try installing the software again.
-
-
-
- INSTALLATION SCREEN
-
- If the BA System has not yet been previously installed for use,
- then the first screen to appear will be the System Installation
- screen. From this screen, you must provide various information
- about your company along with certain system wide parameters
- needed for proper configuration.
-
- Business Accounting System Rev. 1.0 Page 10
-
- If the Installation Screen does not appear when you start the BA
- system for the first time, it is because the BA System has
- already been installed and configured. However, this same screen
- can also be accessed from option 3 of the Utilities submenu,
- System Installation. If this is the case, from the Main Menu
- screen, move to the Utilities submenu with the cursor movement
- keys. Once positioned on this submenu, select option 3, System
- Installation.
-
-
- ┌───────────────────────────── System Installation ────────────────────────────┐
- │ │
- │ Company Name ──────> Durham Software Services, Inc. │
- │ 1st Address Line ──> 3700 Woodcoft Ave │
- │ 2nd Address Line ──> Suite 201 Telephone │
- │ City/State/Zip ────> Durham, NC 27713 (919)493-3299 │
- │ Tax I.D. Number ───> 56-1234567 │
- │ │
- │ Invoice printing (Standard/Custom) ──> C Sales Tax Rate ──> 6.000 % │
- │ Print name block on Statements (Y/N) > Y │
- │ │
- │ Default Payment Terms ──> Net 10 Days Net Days ──> 10 │
- │ Default Inv. Reference ─> W/O │
- │ │
- │ Entry Level Password ─> GOUSER │
- │ Super User Password ──> GOSUPER │
- │ │
- │ Next Client ID Number to utilize ──────> 10 │
- │ Next Invoice Number to utilize ────────> 1 │
- │ Next Work Order Number to utilize ─────> 1 │
- │ Next Expense Trans. Number to utilize ─> 1 │
- └──────────────────────────────────────────────────────────────────────────────┘
-
-
- First on this screen, you must provide the name, mailing address,
- and the telephone number for your company. The company name you
- provide is the name which will appear on the Main Menu screen,
- and system reports. Two lines are then provided for mailing
- address, a single line is provided for the city, state, and
- zipcode, and one entry is provided for telephone number. The
- address lines and telephone number, along with the company name,
- are likewise utilized and printed on client invoices and client
- statements.
-
- The Tax ID Number is not currently utilized by the BA System, but
- you may record it here for future reference if you wish.
-
- Next, you are asked to select an Invoice Printing format, either
- Standard or Custom. While both formats are ideally suited for
- plain paper printing, the Custom format allows you to suppress
- printing of certain information on the invoice, and allows you to
- boldface print certain elements of the invoice.
-
-
- Business Accounting System Rev. 1.0 Page 11
-
- To utilize every feature of the Custom option, your dot matrix
- printer must support either an IBM Proprinter emulation or an
- Epson emulation. Laser printers must utilize the Hewlett Packard
- emulation or one of the aforementioned dot matrix emulations. The
- Custom type of configuration will be discussed in more detail a
- little later.
-
- The Standard format in essence does not permit any special
- features to be incorporated into invoice printing, nor does it
- allow you to suppress printing of any invoice information as does
- the Custom format.
-
- Enter an "S" to select the Standard format or "C" to select the
- Custom format. If you select Custom, an additional screen will
- appear once you have completed entry for the present screen.
-
- The next prompt asks if you wish to print your company name block
- on the Accounts Receivable statements. The name block refers to
- your company name, address lines, and telephone number. The BA
- system provides accounts receivable statements which will match
- preprinted forms supplied by both Rapid Forms (Tel. 800-257-8354;
- form # Economy 7Y2919) and Harland Printing (Tel. 800-443-5521;
- form # S-CS23). The form dimensions are 9 1/2" x 7" (8 1/2" x 7"
- detached). With either supplier, you should be able to specify
- whether or not you wish your company name block to be preprinted
- on the forms. It is perfectly acceptable if you do not wish to
- utilize the client statement feature of the BA System.
-
- Next you should indicate your state sales tax rate. The tax rate
- you enter here is utilized as a default rate when you later
- create client invoices. Note also that this is a percentage rate
- and not a decimal rate, i.e. 6% is expressed as 6.000.
-
- The next three prompts are likewise utilized as defaults when you
- create client invoices. Here you can provide the default Payment
- Terms you wish to utilize, i.e. Net 10 Days. You may also provide
- a default invoice reference to utilize. Adjacent to the terms
- description, you should then provide the default Net Due Days
- used in calculating a corresponding invoice due date. None of
- these defaults has to be utilized. Their only purpose is to make
- the process of creating invoices a bit easier.
-
- Two distinct password levels are defined by the BA System. The
- Entry Level password, if one exists, utilizes password protection
- when users attempt to gain entry into the BA System. When a
- password is present here, and a user attempts to gain entry into
- the BA System, the user will be prompted to enter an Entry
- Password.
-
- Business Accounting System Rev. 1.0 Page 12
-
- ▓▓▓▓▓▓▓▓▓▓▓▓▓▓▓▓▓▓▓▓▓▓▓▓▓▓▓▓▓▓▓▓▓▓▓▓▓▓▓▓▓▓▓▓▓▓▓▓▓▓▓▓▓▓▓▓▓▓
- ▓▓ ▓▓
- ▓▓ ▓▓
- ▓▓ ┌───────────────────────────────────────────┐ ▓▓
- ▓▓ │ │▒ ▓▓
- ▓▓ │ Password Entry Required │▒ ▓▓
- ▓▓ │ │▒ ▓▓
- ▓▓ │ Enter Entry Level Password: ____________ │▒ ▓▓
- ▓▓ │ │▒ ▓▓
- ▓▓ │ │▒ ▓▓
- ▓▓ │ │▒ ▓▓
- ▓▓ └───────────────────────────────────────────┘▒ ▓▓
- ▓▓ ▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒ ▓▓
- ▓▓ ▓▓
- ▓▓ ▓▓
- ▓▓▓▓▓▓▓▓▓▓▓▓▓▓▓▓▓▓▓▓▓▓▓▓▓▓▓▓▓▓▓▓▓▓▓▓▓▓▓▓▓▓▓▓▓▓▓▓▓▓▓▓▓▓▓▓▓▓
-
-
- The person attempting access into the BA System will have three
- (3) attempts to provide the correct password. If he/she is
- unsuccessful after three attempts, the start-up will be aborted.
- If you do not wish to utilize an entry level password, then leave
- this entry blank.
-
- The Super-user password provides internal protection with regard
- to certain system functions, such as closing the period,
- generating finance charges, voiding invoices, voiding expense
- transactions, and accessing the Installation screen. If such a
- password is defined here, a super-user password prompt will
- appear on the screen.
-
-
- ▓▓▓▓▓▓▓▓▓▓▓▓▓▓▓▓▓▓▓▓▓▓▓▓▓▓▓▓▓▓▓▓▓▓▓▓▓▓▓▓▓▓▓▓▓▓▓▓▓▓▓▓▓▓▓▓▓▓
- ▓▓ ▓▓
- ▓▓ ▓▓
- ▓▓ ┌───────────────────────────────────────────┐ ▓▓
- ▓▓ │ │▒ ▓▓
- ▓▓ │ Super-user Access Required │▒ ▓▓
- ▓▓ │ │▒ ▓▓
- ▓▓ │ Enter Super-User Password: ____________ │▒ ▓▓
- ▓▓ │ │▒ ▓▓
- ▓▓ │ │▒ ▓▓
- ▓▓ │ │▒ ▓▓
- ▓▓ └───────────────────────────────────────────┘▒ ▓▓
- ▓▓ ▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒ ▓▓
- ▓▓ ▓▓
- ▓▓ ▓▓
- ▓▓▓▓▓▓▓▓▓▓▓▓▓▓▓▓▓▓▓▓▓▓▓▓▓▓▓▓▓▓▓▓▓▓▓▓▓▓▓▓▓▓▓▓▓▓▓▓▓▓▓▓▓▓▓▓▓▓
-
-
- As with the entry level password, the user will have three
- attempts to enter the super-user password. If unsuccessful after
- three attempts, access to the update being attempted will be
- denied. If you do not wish to utilize this password, leave this
- blank. You may also provide the super-user password anytime you
- are prompted to provide the entry level password.
-
- Business Accounting System Rev. 1.0 Page 13
-
- The remaining lines are purely informational and refer to unique
- sequential numbers which the BA System generates and assigns to
- clients, invoices, work orders, and expense transactions. They
- are for display only, therefore you may not alter any of them.
-
-
- CUSTOMIZE INVOICE PRINTING
-
- Once you have completed entry of the first Installation Screen
- and you indicated the Custom Invoice Printing format, you will
- then be presented with a second screen to allow you to configure
- certain invoice printing features. These features will be
- presented in the form of an option grid. The option grid operates
- only as visual aid in responding to system prompts and is
- utilized throughout the BA System.
-
- First within the grid, you are asked if you wish to print your
- company name/address block on the invoice. If you are utilizing
- some type of preprinted form with your company name, address, and
- logo preprinted, answer "N" for no, otherwise answer "Y" for yes.
-
- Next you are asked if you wish to print document headings on the
- invoice. The headings are the text labels "Client Invoice",
- "Invoice Number:", "Invoice Date:", "Client Number:", "Bill To:",
- "Reference:", "Client Rep:", "Payment Terms:", each of the line
- item column headings labeled as "Items", "Description of
- Charges", "Units", "Charges", and the text on the lower left
- portion of the form indicated as "Payment is due on or before:".
- This gives you the option to preprint this information if you
- wish to. Answer "Y" for yes if you wish these heading labels to
- print, otherwise answer "N" for no.
-
-
- 11/22/91 Interstellar Systems, Inc. Friday
- ─────────────────────────── Business Accounting System ─────────────────────
- System Installation Update
-
- * Option Grid: Customize Invoice Printing
- ┌─────────────────────────────────────────────┬─────────────────────┐
- │ Print Company name/address block (Yes/No) │ Y Y or N │▒
- ├─────────────────────────────────────────────┼─────────────────────┤▒
- │ Print document headings (Yes/No) │ Y Y or N │▒
- ├─────────────────────────────────────────────┼─────────────────────┤▒
- │ Printer port to utilize (LPT1/LPT2) │ 1 1 or 2 │▒
- ├─────────────────────────────────────────────┼─────────────────────┤▒
- │ Printer type (Dot matrix/Laser) │ D D or L │▒
- ├─────────────────────────────────────────────┼─────────────────────┤▒
- │ Printer Emulation (Proprinter/Epson/HP) │ P P/E/H │▒
- ├─────────────────────────────────────────────┼─────────────────────┤▒
- │ NLQ printing mode (Yes/No) │ N Y or N │▒
- ├─────────────────────────────────────────────┼─────────────────────┤▒
- │ Boldface print for (Headings/Data/Neither) │ H H/D/N │▒
- └─────────────────────────────────────────────┴─────────────────────┘▒
- ▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒
-
-
- Business Accounting System Rev. 1.0 Page 14
-
- Next you are asked to indicate the printer port you always wish
- to utilize for invoice printing. If you have more than one
- printer attached to your computer without the use of a switch
- box, you should indicate that printer port here. For most all
- configurations, this is port LPT1. Enter "1" for LPT1 or "2" for
- port LPT2.
-
- Next you must indicate the type of printer you intend to utilize
- for invoice printing, either a Dot Matrix or Laser. If you have a
- printer which is not either one of these types, indicate a Dot
- Matrix. This prompt only serves to help error check with the next
- grid prompt. Enter "D" for Dot matrix or "L" for Laser.
-
- You are then asked to indicate the printer emulation which your
- printer utilizes. Most every dot matrix printer utilizes either
- the IBM Proprinter emulation or the Epson emulation. If you have
- a laser printer, it utilizes the Hewlett Packard emulation or one
- of the aforementioned dot matrix emulations in all probability.
- Enter "P" for Proprinter, "E" for Epson, or "H" for HP emulation.
-
- Next you are asked if you wish to utilize the NLQ mode (near-
- letter-quality) of your printer when printing invoices. Note that
- if you are utilizing a laser printer, it always prints NLQ. If
- your dot matrix printer supports NLQ and it has Proprinter or
- Epson emulation, you may utilize NLQ mode by answering "Y" for
- yes to this prompt. Answer "N" if you do not wish to utilize NLQ
- mode during invoice printing. Note also that utilizing NLQ mode
- on your dot matrix printer will result in a sizable decrease in
- printing speed.
-
- Lastly, you are asked if you wish boldface printing for the
- invoice Headings, the Data areas, or Neither one. The data areas
- are essentially everything else which prints which is not a
- Heading such as the actual invoice number, date, client number,
- client address, line items, due date, and the recap area. Enter
- "H" for Headings, "D" for Data, or "N" for neither.
-
- Once you have created an invoice, you might try altering these
- configurations and reprinting an invoice to see which method you
- most prefer.
-
- If you are prompted to re-enter any grid information during
- entry, you must do so in order to proceed further. Once you have
- completed grid entry, you will then be asked if the grid
- information is correct. If you wish to change information in the
- grid, answer "N" for no. If the grid information is correct
- answer "Y" for yes. If you wish to abort any updates you may have
- performed in the grid press [Esc].
-
- Once you have finished the grid update, the first installation
- screen will reappear. If you are installing the BA System for the
- first time, you will be asked if the screen information is
- correct. Answer "Y" for yes if correct, otherwise answer "N" for
- no. If you answer yes, the information will be saved and the
- initial installation completed. The Main Menu screen will then
- appear.
-
- Business Accounting System Rev. 1.0 Page 15
-
- If you accessed the installation screen from the Utilities
- submenu, you will asked for an action. Press "S" to save the
- information, "E" to edit the screen again, or "Q" to quit without
- saving any changes you may have made. Once you have chosen to
- save or quit, you will then be returned to the Utilities submenu
- area of the Main Menu screen.
-
- THE MAIN MENU
-
- Once the BA System has been loaded or installed, the Main Menu
- will appear. Study this menu carefully as all system functions
- that are performed begin from this area.
-
- Four distinct additional submenus are available from the Main
- Menu screen. From left to right the submenus are File Updates,
- Printing, Reports, and Utilities.
-
- When the BA System is loaded, the File Updates submenu always
- appears first. The available menu choices for each submenu will
- be displayed directly below the submenu heading.
-
- To move between submenus, utilize the LEFT and RIGHT arrow keys
- for directing cursor movement. Pressing the RIGHT arrow key will
- move to the adjacent submenu to the right of the current submenu
- selection. Pressing the LEFT arrow key will move to the adjacent
- submenu to the left of the current submenu selection.
-
- You may also jump directly to each of the submenus by pressing
- either the F1, F2, F3, or F4 keys. F1 corresponds to the File
- Updates submenu, F2 to the Printing submenu, F3 to the Reports
- submenu, and F4 to the Utilities submenu.
-
- Within each submenu, utilize the UP and DOWN arrow keys to scroll
- the light-bar between the available submenu choices. Press the
- [Enter] key when the option you wish to select is highlighted.
- Notice also a corresponding numeric choice is available for each
- submenu selection. This allows you to quickly select one of the
- available submenu choices directly without utilizing the cursor
- movement keys.
-
- Note also the bottom line of the screen as you scroll through the
- available submenu choices. This bottom line contains a bit more
- information about the selection which is currently highlighted by
- the light-bar.
-
- EXITING THE SYSTEM
-
- The ONLY safe way to exit the BA System is to press the [Esc] key
- while positioned on any of the available submenus. When you press
- [Esc], a window will appear and you will be asked to press the
- [Esc] key once more to confirm your exit selection, or you may
- press any other key to resume. If you press [Esc] once again, you
- will be exited from the BA System and returned to DOS. NEVER EVER
- turn-off the power of the computer without exiting from the
- system via the [Esc] key. Files may be physically distorted or
- damaged if you shut down without exiting properly.
-
- Business Accounting System Rev. 1.0 Page 16
-
- Below is a graphic representation of the Main Menu. The submenus
- have been vertically spaced for visual readability. In actuality,
- each submenu appears directly below its corresponding submenu
- heading.
-
- ┌──────────────────────── Interstellar Systems, Inc. ──────────────────────┐
- │ 11/18/91 Monday │
- │ Per. 11 Durham Software Services, Inc. │
- │ Business Accounting System │
- │ Copyright (c) 1992 Revision 1.0 │
- └─────────────────────────────── Main Menu ──────────────────────────────┘
- File Updates Printing Reports Utilities
- | | | |
- | | | |
- \ / | | |
- ┌────────────────────────────┐ | | |
- │ │ | | |
- │ 1. Client Accounting │ | | |
- │ 2. Item File Maintenance │ | | |
- │ 3. Expense Categories │ | | |
- │ 4. Distribute Expenses │ | | |
- │ 5. Finance Charges │ | | |
- │ 6. Period Closing │ | | |
- │ │ | | |
- └────────────────────────────┘ \ / | |
- ┌─────────────────────────┐ | |
- │ │ | |
- │ 1. Client Invoices │ | |
- │ 2. Mailing Labels │ | |
- │ 3. Client Statements │ | |
- │ │ | |
- └─────────────────────────┘ | |
- \ / |
- ┌─────────────────────────┐ |
- │ │ |
- │ 1. File Listings │ |
- │ 2. Report Registers │ |
- │ 3. Report Analyses │ |
- │ │ |
- └─────────────────────────┘ |
- \ /
- ┌─────────────────────────┐
- │ │
- │ 1. Reindex Files │
- │ 2. Change System Date │
- │ 3. System Installation │
- │ 4. Recalculate Balances │
- │ │
- └─────────────────────────┘
-
- It is strongly recommended that anytime you are not utilizing the
- BA System for an extended period of time, that you exit the
- system, and return to the DOS level. If the power of the computer
- is ever interrupted, the safest place to be is at the operating
- system level, DOS.
-
-
- ________________________________________
-
- Business Accounting System Rev. 1.0 Page 17
-
- The remaining portion of this user's manual will now be devoted
- to configuring, circumnavigating, and utilizing the menu options
- available. To enable a better understanding of the BA System
- functions, the submenu selections will be presented and explained
- in a logical sequence of functionality rather than
- chronologically.
-
- Below is a schematic representation of the logical sequence of
- topics to be examined and discussed.
-
- ┌───────────────────────────────────────────────┐
- │ │▒
- │ * Item File Maintenance │▒
- │ │▒
- │ * Client File Maintenance │▒
- │ │▒
- │ * Invoicing and Accounts Receivables │▒
- │ │▒
- │ * Expense Tracking │▒
- │ │▒
- │ * Finance Charges and Client Statements │▒
- │ │▒
- │ * Period Closing │▒
- │ │▒
- │ * Batch Invoice Printing and Labels │▒
- │ │▒
- │ * System Reports │▒
- │ │▒
- │ * As-Needed Utilities │▒
- │ │▒
- └───────────────────────────────────────────────┘▒
- ▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒
-
-
- ITEM FILE MAINTENANCE
-
- Before you begin invoicing with the BA System, you should first
- determine exactly what your billable items are. What types of
- services does your business provide? What types of products do
- you sale or resale? Once you have determined what your billable
- items are, you should then create them with option 2 of the File
- Updates submenu, Item File Maintenance. When you begin creating
- client invoices, the line items you post will be pulled from
- this library of billable items.
-
- Once you have selected this option, you will be prompted to enter
- an Item Code that you wish to create or edit. The Item Code is a
- unique 12 character alpha-numeric identifier which you must
- assign to each of your billable items. When assigning Item Codes,
- you do not need to utilize all 12 characters, and you may find it
- helpful to mimic the item's description as much as you can.
-
- ┌──────────────────────────────────────────────────────────────────────────────┐
- │ │
- │Enter Item Code to create or edit, F10 to lookup, or Esc to exit =>___________│
- │ │
- └──────────────────────────────────────────────────────────────────────────────┘
-
- Business Accounting System Rev. 1.0 Page 18
-
- From this prompt, you may do one of several things. You can enter
- the Item Code you wish to create, you can enter an Item Code you
- wish to retrieve, you can press the F10 "hot-key" to look-up
- existing Item Codes on file (more on this later), or you can
- press [Esc] or [Enter] to exit. If you press [Esc], you will be
- returned to the File Updates submenu.
-
- CREATE AN ITEM CODE
-
- If you are creating a new Item Code, first enter the code you
- wish to create at the Item Code prompt. Once you have entered an
- Item Code, the BA System will then check for its existence on
- file. If it fails to locate the Item Code you entered, it will
- inform you of this, and ask you if you wish to create the Item
- Code.
-
- ┌──────────────────────────────────────────────────────────────────────────────┐
- │ │
- │Enter Item Code to create or edit, F10 to lookup, or Esc to exit =>PROGSUPP___│
- │Item Code not on file. Add to file? (Y/N) ==> │
- │ │
- └──────────────────────────────────────────────────────────────────────────────┘
-
- Answer "Y" for yes at this prompt if you wish to create this Item
- Code, otherwise answer "N" for no and you will again be prompted
- to enter an Item Code.
-
- If you answered yes, you will be presented with a new screen for
- creating an Item Code. From here, you must complete the remaining
- information fields for this item. If you wish to abort the
- process, simply press [Esc] and you will be exited and again
- asked to provide an Item Code to create or edit.
-
-
- ┌──────────────────────────── Item File Maintenance ───────────────────────────┐
- │ │
- │ │
- │ Item Code ─────> PROGSUPP │
- │ Description ───> Programming Support │
- │ │
- │ Taxable (Y/N) ─> N Type (Prod/Serv) ───> S │
- │ Category ──────> PRO Unit of Measure ────> HR │
- │ │
- │ Unit Cost ────> 0.000 YTD Qty Billed ──> 0.0 │
- │ Unit Price ───> 40.00 YTD Revenue ─────> 0.00 │
- │ │
- │ │
- │ │
- │ │
- │ │
- │ │
- │ │
- │ │
- └──────────────────────────────────────────────────────────────────────────────┘
-
- Business Accounting System Rev. 1.0 Page 19
-
- From this screen you must provide a brief description of this
- Item Code. Do not be overly concerned if you cannot say all you
- wish to within the 35 character limit. As you are creating
- invoice line items, you will be allowed to enter a supplemental
- description of any length for each of your invoice line items.
- This will be discussed in greater depth further into this
- documentation.
-
- Next you should indicate if this item is normally taxable. If you
- normally should collect sales tax when you sale this item,
- indicate this with a "Y" for yes adjacent to the taxable label.
- Enter "N" for no if you do not normally charge sales tax on this
- item. As you are invoicing, you will be allowed to change the
- taxable status of the item on the invoice if you so desire.
- Consult your accountant if you are unsure of the taxable status
- of any billable items.
-
- Next you may indicate a user-definable Category code for this
- item if you wish, or you may leave this entry blank. Utilize any
- scheme for grouping items that is meaningful to you. Presently,
- it serves no other purpose than allowing you to generate an Item
- File Listing for a particular category code.
-
- Next you should indicate if this Item Code is a product you
- sale/resale or a service you provide. Enter "P" for product or
- "S" for service type of item. Presently, it serves no other
- purpose that allowing you to generate an Item File Listing for
- products only or services only.
-
- Next you should indicate the Unit of Measure for the Item Code.
- If the Item Code pertains to labor, you might wish to enter "HR"
- for hour. If it pertains to a product, you might wish to enter
- "EA" for each or "BX" for box, etc.. The Unit of Measure you
- enter here will also be printed on the client invoice adjacent to
- the number of units you billed.
-
- Next you should indicate the normal Unit Cost of the item, if
- applicable. The Cost is what your business pays for the item. If
- no cost is applicable to the Item Code, leave this a 0.00. As you
- are posting line items to an invoice, you will be allowed to
- modify the unit cost of the Item Code for each invoice line item.
-
- Next enter the normal Unit Price of the item. This is what you
- normally sale or bill the item for. If it is a no-charge item,
- simply leave this 0.00. As you are posting line items to an
- invoice, you will be allowed to modify the unit price of the Item
- Code for each invoice line item.
-
- Once you have completed screen entry, you will be prompted for an
- action. Press "S" if you wish to save the Item Code to file, "E"
- if you wish to edit the screen again, or "Q" if you wish to abort
- creation of this Item Code.
-
- Once you have selected to save or quit, you will be returned to
- the previous screen and again be prompted to provide an Item Code
- to create or edit. If you wish to exit at this point, press
- [Esc].
-
- Business Accounting System Rev. 1.0 Page 20
-
- RETRIEVE AN ITEM CODE
-
- As mentioned previously, once you provide an Item Code at the
- aforementioned prompt, the BA System will check for its
- existence. If if finds a matching Item Code, it will be retrieved
- and its corresponding screen displayed.
-
- If you are uncertain of the Item Code you wish to retrieve, or if
- you wish to view some existing Item Codes, you may do so by
- pressing the F10 "hot-key" for Item Code look-up. The "hot-key"
- will allow you to retrieve a pre-existing Item Code by either
- partial Item Code or partial Description. After you press F10,
- you will then be asked if you wish to look-up by partial Item
- Code or partial Description.
-
- ┌─────────────────────────────────────────────────────────────────┐
- │ │
- │ Look-up by partial Item Code or partial Description? ───> D │
- │ │
- └─────────────────────────────────────────────────────────────────┘
-
-
- Press "C" for Code if you wish to search for the Item Code by a
- partial code entry. You will then be asked to provide a code to
- search for. You should enter that code (whole or partial) or you
- may press [Esc] to abort the look-up.
-
- Press "D" if you wish to search for the Item Code by a partial
- description entry. You will then be asked to provide a partial
- description to search for. You should enter that description
- (whole or partial) or you may press [Esc] to abort the look-up.
-
- Once you have made an entry, the system will then try to find the
- closest match currently on file to what you have entered. It will
- shorten your entry one character at a time until it finds a match
- for your entry. For instance, if you chose to search by
- description, and you entered a partial description of "PROGRA",
- the system will first try to find a description that begins with
- your entry. If it fails to find a match, it will shorten your
- entry by one character ("PROGR") and repeat the search. This same
- method applies to a partial search by code.
-
- If no match is found, it will inform you of this and the look-up
- will begin with the first record on file. If a match is found,
- the look-up window will display that first record which most
- closely resembled your entry.
-
- Business Accounting System Rev. 1.0 Page 21
-
- ┌──────────────────────── Interstellar Systems, Inc. ──────────────────────┐
- │ 11/22/91 Friday │
- │ Per. 11 Durham Software Services, Inc. │
- │ Business Accounting System │
- │ Copyright (c) 1992 Revision 1.0 │
- └───────────────────────────────> Main Menu <──────────────────────────────┘
- File Updates Printing Reports Utilities
- ┌────────────────────────────┐
- │ ┌────────────────────────────────────────────────────────────────┐
- │ 1. Clie│ Item Code Description Type Categ │▒
- │ 2. Item├────────────────────────────────────────────────────────────────┤▒
- │ 3. Expe│ COMPINST Compile/Install Software Support S SUP │▒
- │ 4. Dist│ CONSULT Systems Consulting S SUP │▒
- │ 5. Fina│ MISC Misc Item S │▒
- │ 6. Peri│ PROGSUPP Programming Support S PRO │▒
- │ │ PROJPROG Project Programming S PRO │▒
- └────────│ SAP-MSRC Superior AP, 2.2 Multiuser Source P SUP │▒
- │ SAR-MSRC Superior AR, 2.2 Multiuser Source P SUP │▒
- │ SGL-MSRC Superior GL, 2.5 Multiuser Source P SUP │▒
- │ SPR-MSRC Superior PR, 2.5 Multiuser Source P SUP │▒
- └────────────────────────────────────────────────────────────────┘▒
- ▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒
-
-
-
- Above is a sample of the look-up window utilizing a partial
- description search. The order of records within the window will
- be in description order if you chose to search that way. If you
- chose to search by Item code, the records will appear in order by
- Item code.
-
- You may navigate the window by utilizing the cursor movement keys
- or the PageUp and PageDown keys. Position the light-bar over the
- Item Code you wish to retrieve and press [Enter]. Press the [Esc]
- key if you wish to abort the look-up, and you will again be
- prompted to enter an Item Code to create or edit.
-
- MODIFY EXISTING ITEM CODES
-
- Once you have entered a valid Item Code, or have selected from
- the look-up window, the Item Code screen will be displayed. A
- horizontal type of menu will also be displayed on the bottom line
- of the screen.
-
- Business Accounting System Rev. 1.0 Page 22
-
- ┌──────────────────────────── Item File Maintenance ───────────────────────────┐
- │ │
- │ │
- │ Item Code ─────> SAP-MSRC │
- │ Description ───> Superior AP, 2.2 Multiuser Source │
- │ │
- │ Taxable (Y/N) ─> Y Type (Prod/Serv) ───> P │
- │ Category ──────> SUP Unit of Measure ────> EA │
- │ │
- │ Unit Cost ────> 275.000 YTD Qty Billed ──> 0.0 │
- │ Unit Price ───> 375.00 YTD Revenue ─────> 0.00 │
- │ │
- │ │
- │ │
- │ │
- │ │
- │ │
- │ │
- │ │
- └──────────────────────────────────────────────────────────────────────────────┘
- Select: Forward Backward Edit Delete Recall Activity Quit ───> _
-
-
- Press "F" to skip forward to the next Item Code on file (similar
- to turning pages in a book). Press "B" to skip backwards to the
- previous Item Code on file. From this screen, the records are
- arranged by order of Item Code.
-
- Press "E" to edit the Item screen. Refer to the previous
- explanation of the various data fields. If you wish to abort the
- edit at any time, simply press [Esc]. Once you have completed all
- entries, you will be asked if you wish to save any changes you
- may have made. Answer "Y" for yes if you wish any changes saved,
- otherwise answer "N" for no.
-
- Press "D" to delete the Item Code. Deleting a record from this
- option basically marks the Item Code for purging at some point
- in the future (see future discussion of Reindexing Files).
-
- Press "R" to recall (or undelete) a previously deleted Item Code.
-
- If you wish to view sales activity of the Item for the current or
- previous year, press "A" for activity. Once you select this
- option, you will then be asked if you wish to display the report
- to the screen, or print to a printing device.
-
- ▓▓▓▓▓▓▓▓▓▓▓▓▓▓▓▓▓▓▓▓▓▓▓▓▓▓▓▓▓▓▓▓▓▓▓▓▓▓▓▓▓▓▓▓▓▓▓▓
- ▓▓ ▓▓
- ▓▓ ┌─────────────────────────────────┐ ▓▓
- ▓▓ │ │▒ ▓▓
- ▓▓ │ Display or Print? (D/P) ──> D │▒ ▓▓
- ▓▓ │ │▒ ▓▓
- ▓▓ └─────────────────────────────────┘▒ ▓▓
- ▓▓ ▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒ ▓▓
- ▓▓ ▓▓
- ▓▓ ▓▓
- ▓▓▓▓▓▓▓▓▓▓▓▓▓▓▓▓▓▓▓▓▓▓▓▓▓▓▓▓▓▓▓▓▓▓▓▓▓▓▓▓▓▓▓▓▓▓▓▓
-
-
- Business Accounting System Rev. 1.0 Page 23
-
- Press "D" to display the report, "P" to print, or press [Esc] to
- abort the selection. Once you have selected to display or print,
- you will presented with an option grid screen. The option grids
- allow you to curtail and customize certain reporting features,
- and are utilized throughout the BA System.
-
-
- 11/22/91 Interstellar Systems, Inc. Friday
- ─────────────────────────── Business Accounting System ─────────────────────────
- Item Activity Report
-
- * Option Grid: Display PROGSUPP Activity Report
- ┌─────────────────────────────────────────────┬─────────────────────┐
- │ File to utilize: Current year or Last year │ C C or L │▒
- ├─────────────────────────────────────────────┼─────────────────────┤▒
- │ Reporting periods (blank omits a range) │ thru │▒
- ├─────────────────────────────────────────────┼─────────────────────┤▒
- │ Begin Invoice date (blank to omit) │ / / │▒
- ├─────────────────────────────────────────────┼─────────────────────┤▒
- │ End Invoice date (blank to omit) │ / / │▒
- └─────────────────────────────────────────────┴─────────────────────┘▒
- ▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒
-
-
-
- From with the grid, you must first indicate if you wish to report
- activity from the Current year sales file or the Last year's.
- Enter "C" for current or "L" for last year.
-
- Next you may specify a reporting period range. You may utilize
- either one of the two, both of them, or you may leave each blank
- to omit reporting period from the search criteria. If you wish to
- report only a single period, enter the same period into both
- entries.
-
- Next you may specify an invoice date range to print. As with the
- reporting period range, you may utilize either one of the two,
- both of them, or you may leave each entry blank to omit invoice
- date from the search criteria. If you wish to report only a
- single date, enter the same date for both entries.
-
- If at any point within the grid you wish to abort the report,
- simply press [Esc]. Once you have completed grid entry, you will
- then be asked if the grid information is correct. Press "N" for
- no if you wish to edit the grid information once again, "Y" for
- yes if correct, or "Q" to quit and abort this report.
-
- Once you have indicated the grid information is correct, and you
- selected to print the report, you will then be reminded to
- prepare your printing device. You should then check to make sure
- that paper has been loaded and aligned, and the printer is on-
- line and ready. If the printer is not ready, you may receive a
- message to this effect. If you selected to display the report,
- you will be allowed to abort the report by pressing [Esc] during
- a screen pause.
-
- Business Accounting System Rev. 1.0 Page 24
-
- The Activity Report for a given Item Code is a detailed sales
- listing by invoice number and is subtotaled by reporting period.
- In addition to reporting period and invoice number, it also lists
- the invoice date, the client billed, the units billed, the
- extended cost, sales tax, and price, and the net profit.
-
- Once the report has been completed, you will be returned to the
- Item Code screen. From here you may then select another menu
- option.
-
- Press "Q" to quit and exit the Item Code screen. Once you select
- to quit, the original Main Menu screen will be restored, and you
- will again be prompted to provide an Item Code to create or edit.
- To return to the File Updates submenu, press [Esc].
-
-
- CLIENT FILE MAINTENANCE
-
- Once you have created most all of your Item Codes, you should
- then begin the tasks of creating your client file. Once you have
- set up a client on the BA System, you may then begin the process
- of billing and accounts receivable maintenance. To create a new
- client, modify an existing one, or to post billing revenue and
- payment transactions, select option 1, "Client Accounting", from
- the File Updates submenu.
-
- Once you select this option, you are presented with the following
- prompt:
-
- ┌──────────────────────────────────────────────────────────────────────────────┐
- │ │
- │Enter Client ID to edit, F2 to create, F10 to Lookup, or Esc to exit ──> _____│
- │ │
- └──────────────────────────────────────────────────────────────────────────────┘
-
- For every client you intend to create, you must assign a unique
- Client ID code. This Client ID is a six character alpha-numeric
- entry which may not be shared by any other client. From this
- prompt, you may do one of several things. You may provide a
- Client ID to edit or retrieve, press the F2 key to create a new
- client record, press the F10 "hot-key" to perform a look-up of
- existing clients, or you may press [Esc] to exit.
- First we will examine the process of creating a new client
- record.
-
- CREATE A NEW CLIENT
-
- At the prompt for a Client ID, if you provide one which does not
- yet exist on the client file, you will be informed of this, and
- again prompted to enter an ID.
-
- To create a new client, simply press the F2 key at the
- aforementioned prompt. Once you press F2, you will be presented
- with a client screen for which you must provide client
- information. If you wish to abort the addition of a new client at
- any point on the screen, press the [Esc] key.
-
-
- Business Accounting System Rev. 1.0 Page 25
-
- ┌────────────────────────────── Create a Client ───────────────────────────────┐
- │ │
- │ Client ID ───> AIFS │
- │ Client Name ─> ACME Insurance & Financial Services │
- │ Department ──> Accounting │
- │ Address1 ────> 122 E. Franklin St. │
- │ Address2 ────> Suite 105 │
- │ City ────────> Chapel Hill St NC Zipcode 27611-1234 │
- │ │
- │ Status (Act/Inact) ─> A Fin.Charge (Y/N) ─> Y Type ─> INS Code ─> MCL │
- │ │
- │ Contact1 > Jeanne Lee Contact2 > Winston Jefferson │
- │ Phone1 ──> (800)555-1234 Ext. 1201 Phone2 ──> ( ) - Ext. 1205 │
- │ Fax ─────> (919)926-1277 │
- │ │
- │ Other Information ──> Multiuser accounting with Novell │
- │ │
- │ │
- │ │
- └──────────────────────────────────────────────────────────────────────────────┘
-
-
- First you must provide the Client ID. In assigning ID's, you may
- find it helpful to mimic the client's name. Remember, it is six
- characters wide and may contain alpha-numeric characters. If the
- Client ID you enter is currently in use by another client
- currently on file, you will be informed of this, and forced to
- re-enter the Client ID.
-
- Next you must provide the actual name of the client. After you
- have provided a name, you may if you wish, indicate a specific
- Department, or leave this field blank if not applicable to the
- client.
-
-
- ┌───────────────────────────────────────────────────┐
- │ NOTE: │▒
- │ │▒
- │ If you regularly conduct business with more │▒
- │ than one department at a given client location, │▒
- │ you may wish to create a separate client record │▒
- │ for each department. You might also wish to │▒
- │ assign a similar Client ID to each department. │▒
- │ │▒
- │ For instance, if you serve three separate │▒
- │ departments within the company, Triangle │▒
- │ Insurance Company, you might create three │▒
- │ separate client records with the Client ID's │▒
- │ TIC1, TIC2, and TIC3. Then you could utilize │▒
- │ the Department field to specifically identify │▒
- │ each distinct area you serve within the client. │▒
- │ │▒
- └───────────────────────────────────────────────────┘▒
- ▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒
-
-
- Business Accounting System Rev. 1.0 Page 26
-
- Two mailing address lines are provided as well as city, state,
- and zip code.
-
- Next, below the name and address block, you must indicate the
- current status of the client, either Active or Inactive. Inactive
- clients may be omitted from the Client Report Listing, and the
- printing of accounts receivable statements and Open Receivables
- Analysis. Enter "A for active or "I" for inactive. Should any
- invoice activity occur against an inactive client, the BA System
- will automatically change their status to active.
-
- If you intend to utilize the finance charge mechanism provided by
- the BA System, you may indicate which clients are and are not to
- be assessed finance charges. If the client is never to be
- assessed finance charges, indicate this by entering "N" for no.
- If you wish the client to be included in the finance charge
- calculation, enter a "Y" for yes. Note that indicating finance
- charges here does not automatically generate such charges. A
- separate File Updates submenu option exists for this purpose and
- will be discussed in greater detail later.
-
- The next two information fields labeled "Type" and "Code" are
- user-definable. Within these two fields, you may enter anything
- you wish (anything meaningful to you), or you may leave them
- blank. Presently, they only serve to allow you to generate a
- client listing or mailing labels for a specific "type" or a
- specific "code".
-
- Next, you may provide two client contact names, phone numbers and
- extensions, and a fax number. You may leave any of these blank if
- you wish.
-
- Adjacent to the data label, "Other Information", you may enter
- anything you wish. It is for screen reference only and is not
- currently utilized anywhere else within the BA System. Please
- note also that a Client Notepad, for freehand entry of notes or
- reminders is also available. The Notepad will be discussed a
- little later.
-
- Once you have completed entry of all information fields, the
- system will then ask if you wish to save your entry, edit the
- screen again, or quit without saving. Press "S" to save and the
- client record will be saved to the system files. Press "E" and
- you will be allowed to edit the client screen again. If you wish
- to abort entry of this client at this time, press "Q" to quit.
-
- What happens next is dependent upon your response to the previous
- prompt. If you selected to abort client entry, the Main Menu
- screen will then be restored, and you will again be prompted to
- enter a Client ID. From here, you may provide a Client ID to
- edit, press F2 to add a client, F10 to look-up an existing
- client, or you may press [Esc] to exit. When you press [Esc], you
- will be returned to the File Updates submenu.
-
- Business Accounting System Rev. 1.0 Page 27
-
- If you chose to save the client record, you will automatically be
- placed into the edit mode just as if you had provided a valid
- Client ID at the original prompt for one. A horizontal type menu
- will then be displayed on the bottom line of the screen. For a
- further explanation of these menu options, please refer to the
- documentation area entitled "Modify an Existing Client". For now
- however, our discussion will return to retrieving an existing
- client.
-
- RETRIEVE AN EXISTING CLIENT
-
- As with Item Codes, you may retrieve an existing client in one of
- several ways. First, you may provide a Client ID at the prompt
- for one. Once you have provided a Client ID, the BA System will
- then check for the existence of that ID. Note that in order for
- the BA System to retrieve the client, the ID you provide must be
- an exact match to that of the client, otherwise it will be unable
- to retrieve the client. If the system is unable to locate a
- matching entry, it will inform you of this and again prompt you
- to enter a Client ID. If an exact match is found, the client's
- screen will then be retrieved.
-
- You may also utilize the F10 "hot-key" to retrieve an existing
- client. Utilizing the "hot-key", you may retrieve a client by
- either partial Client ID, or partial Client Name. When you press
- the F10 key, you will see the following prompt:
-
-
- ▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒
- ▒▒ ▒▒
- ▒▒ ▒▒
- ▒▒ Look-up by partial Name or Client ID ───> _ ▒▒
- ▒▒ ▒▒
- ▒▒ ▒▒
- ▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒
-
-
- Press "C" for Client if you wish to search for the client by a
- partial Client ID entry. You will then be asked to provide an ID
- to search for. You should enter that ID code (whole or partial)
- or you may press [Esc] to abort the look-up.
- Press "N" if you wish to search for the client by a partial name
- entry. You will then be asked to provide a partial client name to
- search for. You should enter that name (whole or partial) or you
- may press [Esc] to abort the look-up.
-
- Once you have made an entry, the system will then try to find the
- closest match currently on file to what you have entered. It will
- shorten your entry one character at a time until it finds a match
- for your entry. For instance, if you chose to search by name, and
- you entered a partial name of "JEFFERS", the system will first
- try to find a name that begins with your entry. If it fails to
- find a match, it will shorten your entry by one character
- ("JEFFER") and repeat the search. This same method applies to a
- partial search by ID code.
-
- Business Accounting System Rev. 1.0 Page 28
-
- If no match if found, it will inform you of this and the look-up
- will begin with the first record on file. If a match is found,
- the look-up window will display that first record which most
- closely resembled your entry.
-
-
- ┌──────────────────────── Interstellar Systems, Inc. ──────────────────────┐
- │ 11/22/91 Friday │
- │ Per. 11 Durham Software Services, Inc. │
- │ Business Accounting System │
- │ Copyright (c) 1992 Revision 1.0 │
- └───────────────────────────────> Main Menu <──────────────────────────────┘
- File Updates Printing Reports Utilities
- ┌────────────────────────────┐
- │ ┌─────────────────────────────────────────────────────────────────┐
- │ 1. Cli│ Client ID Client Name Department │▒
- │ 2. Ite├─────────────────────────────────────────────────────────────────┤▒
- │ 3. Exp│ AIFS ACME Insurance & Financial Services Accounting │▒
- │ 4. Dis│ BCSD Better Cleaning Service of Durham │▒
- │ 5. Fin│ CFCPA Caldwell & Franklin, CPA │▒
- │ 6. Per│ DPTS Durham Public Transportation Serv. Reservations │▒
- │ │ NEPA Natl. Endowment for Performing Arts │▒
- └───────│ TCOA Triangle Council on Aging Administration │▒
- │ TIC1 Triangle Insurance Company Accounting │▒
- │ TIC2 Triangle Insurance Company Claims │▒
- │ TIC3 Triangle Insurance Company Underwriting │▒
- └─────────────────────────────────────────────────────────────────┘▒
- ▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒
-
-
- Above is a sample of the look-up window utilizing a partial name
- search. The order of records within the window will be in the
- order in which you chose to search. If you chose to search by
- name, the records will appear in order by name, or by ID number
- if you chose to search that way.
-
- You may navigate the window by utilizing the cursor movement keys
- or the PageUp and PageDown keys. Position the light-bar over the
- Client you wish to retrieve and press [Enter]. Press the [Esc]
- key if you wish to abort the look-up, and you will again be
- prompted to enter a Client ID.
-
- MODIFY AN EXISTING CLIENT
-
- Once a client is retrieved, it's corresponding screen will then
- be displayed and a horizontal menu will appear on the bottom line
- of the screen.
-
- Press "F" to skip forward to the next client on file or "B" to
- skip backwards to the previous one. Note, the screens will appear
- in order by Client ID.
-
- Business Accounting System Rev. 1.0 Page 29
-
- Press "E" to edit the client screen. Note that you are allowed to
- change the Client ID should you have a need to. Perhaps the
- client's name has changed and you wish to modify the ID to
- reflect this, or perhaps you just were not satisfied with your
- original choice for a Client ID. If you change the Client ID and
- the ID is in use by another client, you will be informed of this
- and forced to re-enter the Client ID. Press [Esc] at any time in
- the edit mode to abort the edit. Once you have completed all
- entries you will be asked if you wish to save any changes you may
- have made. Answer "Y" for yes to save changes, otherwise answer
- "N" for no.
-
- ┌─────────────────────────── Client File Maintenance ──────────────────────────┐
- │ │
- │ Client ID ───> AIFS │
- │ Client Name ─> ACME Insurance & Financial Services │
- │ Department ──> Accounting │
- │ Address1 ────> 122 E. Franklin St. │
- │ Address2 ────> Suite 105 │
- │ City ────────> Chapel Hill St NC Zipcode 27611-1234 │
- │ │
- │ Status (Act/Inact) ─> A Fin.Charge (Y/N) ─> Y Type ─> INS Code ─> MCL │
- │ │
- │ Contact1 > Jeanne Lee Contact2 > Winston Jefferson │
- │ Phone1 ──> (800)555-1234 Ext. 1201 Phone2 ──> ( ) - Ext. 1205 │
- │ Fax ─────> (919)926-1277 │
- │ │
- │ Other Information ──> Multiuser accounting with Novell │
- │ │
- │ YTD Billing YTD Paid AR Balance Unappl.Credit │
- │ $ 0.00 $ 0.00 $ 0.00 $ 0.00 │
- │ │
- │ │
- └──────────────────────────────────────────────────────────────────────────────┘
- Select: Frwd Bkwd Edit Delete Recall Notes Print Accounting Quit ──> _
-
-
- Press "D" to delete the client. You will not be allowed to delete
- a client if any active invoices are on file for the client within
- the current year. Note also that deleting the client does not
- purge them from the file at this time, rather this only marks
- them for future purging when the files are reindexed (refer to
- later discussion on Reindexing Files).
-
- Press "R" to recall (or undelete) a previously deleted client.
-
- A notepad for entering of client notes is also provided and may
- be accessed by pressing "N" for notepad. Here you may enter notes
- and/or reminders to yourself concerning the client. The notepad
- is very similar in nature to a word processor and includes a
- "word-wrapping" capability. Be careful not to press the [Enter]
- key at the end of a line unless you intend to start a new
- paragraph. A legend is also provided to assist you with certain
- editing and cursor movement functions.
-
- Business Accounting System Rev. 1.0 Page 30
-
- ┌─────────────────────────── Client File Maintenance ──────────────────────────┐
- │ │
- │ Client ID ───> AIFS * NOTES * │
- │ Client Name ─> ACME Insurance & Financial Services │
- │ D┌─────────── Notepad for ACME Insurance & Financial Services ─────────┐ │
- │ A│ │ │
- │ A│ Esc <abort> ||-- <move> F4 <delete word> │ │
- │ C│ Ins <insert on/off> PgUp <up page> F5 <top> │ │
- │ │ Del <delete char> PgDn <down page> F6 <bottom> │ │
- │ S│ Home <begin line> F2 <date stamp> F7 <reformat> │L │
- │ │ End <end line> F3 <delete line> F10 <save & exit> │ │
- │ C│ │ │
- │ P│ 11/21/91 ROD Jeanne called and asked if I could stop by next week │5 │
- │ F│ and demo the Accounts Payable and Payroll software modules. │ │
- │ │ Scheduled tentative meeting for Tues., 11/26 at 9:30 am. │ │
- │ O│ 11/26/91 ROD Demo'd the modules today and all went well. She will │ │
- │ │ call next week once she works this into the budget. │ │
- │ │ 11/26/91 ROD Received call today and everything's a go. Called │ │
- │ │ Superior Software and ordered modules to be shipped UPS Blue. Blue │ │
- │ └─────────────────────────────────────────────────────────────────────┘ │
- │ │
- └──────────────────────────────────────────────────────────────────────────────┘
-
-
- Of particular interest should be the F2 key which will enter the
- current system date into the notepad each time it is pressed.
- Note also the technique utilized for each separate grouping of
- notes. The first part of the note line is date stamped (with the
- F2 key). Next follows the initials of the person who entered the
- note. Lastly are the contents of the note.
-
- Press the F10 key to save any notes entered and exit the notepad,
- or press [Esc] to exit without saving any changes made to the
- notepad. The contents of the notepad are printed on the Client
- Profile Sheet (to be discussed later). If any notes exist for a
- client, the text "* NOTES *" will appear in the upper right
- corner of the screen.
-
- PRINT MENU
-
- A print menu is also available from the client screen and is
- accessed by pressing the letter "P" from the horizontal menu.
- Once you make this selection, a Print Menu will then appear. From
- the menu, you may select to print (or display is some cases) a
- client work order, a profile sheet which includes any notes
- entered into the notepad, billing and payment activity reports,
- an accounts receivable statement, or a mailing label.
- Select the appropriate report from the available choices or use
- the cursor movement keys to position the light-bar over your
- selection. If you wish to exit the Print Menu, press [Esc].
-
- Most of the selections are supplied with an option grid allowing
- you to specify certain parameters. Once you have completed all
- grid entries, you will be asked if the grid information is
- correct. If you wish to edit the grid information, answer "N" for
- no. If the information is correct, answer "Y" for yes. If you
- wish to quit and abort the print selection, press "Q" to quit.
-
- Business Accounting System Rev. 1.0 Page 31
-
- ┌─────────────────────────── Client File Maintenance ──────────────────────────┐
- │ │
- │ Client ID ───> AIFS * NOTES * │
- │ Client Name ─> ACME Insurance & Financial Services │
- │ Department ──> Accounting │
- │ Address1 ────> 122 E. Franklin St. │
- │ Address2 ────> Suite 105 │
- │ City ────────> Chapel Hill St NC Zipcode 27611-1234 │
- │ ┌──────────────────────┐ │
- │ Status │ Print Menu │▒arge (Y/N) M> Y Type M> INS Code M> MCL │
- │ ├──────────────────────┤▒ │
- │ Contact│ Work Order │▒ Contact2 > Winston Jefferson │
- │ Phone1 │ Client Profile │▒201 Phone2 MM> ( ) - Ext. 1205 │
- │ Fax MMM│ Mailing Label │▒ │
- │ │ Activity Reports │▒ │
- │ Other I│ Statement │▒accounting with Novell │
- │ │ │▒ │
- │ YT│ Press Esc to exit │▒d AR Balance Unappl.Credit │
- │ $ └──────────────────────┘▒0 $ 150.00 $ 0.00 │
- │ ▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒ │
- │ │
- └──────────────────────────────────────────────────────────────────────────────┘
-
-
- CLIENT WORK ORDER
-
-
- ▓▓▓▓▓▓▓▓▓▓▓▓▓▓▓▓▓▓▓▓▓▓▓▓▓▓▓▓▓▓▓▓▓▓▓▓▓▓▓
- ▓▓ ▓▓
- ▓▓ ┌──────────────────────┐ ▓▓
- ▓▓ │ Print Menu │▒ ▓▓
- ▓▓ ├──────────────────────┤▒ ▓▓
- ▓▓ │>> Work Order <<│▒ ▓▓
- ▓▓ │ Client Profile │▒ ▓▓
- ▓▓ │ Mailing Label │▒ ▓▓
- ▓▓ │ Activity Reports │▒ ▓▓
- ▓▓ │ Statement │▒ ▓▓
- ▓▓ │ │▒ ▓▓
- ▓▓ │ Press Esc to exit │▒ ▓▓
- ▓▓ └──────────────────────┘▒ ▓▓
- ▓▓ ▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒ ▓▓
- ▓▓ ▓▓
- ▓▓ ▓▓
- ▓▓▓▓▓▓▓▓▓▓▓▓▓▓▓▓▓▓▓▓▓▓▓▓▓▓▓▓▓▓▓▓▓▓▓▓▓▓▓
-
-
- The Work Order is a worksheet which you may generate at any time.
- It has been designed to serve as a tool for use in billing during
- on-site visits to a client, particularly when you don't know what
- you are billing for in advance. Its format is very similar to
- that of an invoice except you will manually write in the work
- performed and charges. You also have the flexibility to designate
- the work order as the client invoice if you wish. This feature
- comes in handy if you do not wish to mail a client invoice at a
- later date. It is print only and may not be displayed.
-
- Business Accounting System Rev. 1.0 Page 32
-
- Once you select this option, you will be presented with an option
- grid which will allow you to specify the format of the work
- order.
-
- First within the grid, you should indicate the date of the work
- order. This will default to the system date, however you may
- change it.
-
- Next you are asked if you wish to print underlines (as in
- notebook paper underlines) to aide manual written entry. Answer
- "Y" for yes if you wish to print the underlines, otherwise answer
- "N" for no.
-
- Next you are asked if you wish to utilize the custom invoice
- printing feature. This refers to the custom invoice print feature
- described on the Installation screen. If you are utilizing the
- custom print feature for invoice printing, and you wish to
- utilize the same features for work order printing, then indicate
- this by entering "Y" for yes. If you don't wish to utilize any
- custom print features, answer "N" for no.
-
- 12/13/91 Interstellar Systems, Inc. Friday
- ─────────────────────────── Business Accounting System ─────────────────────────
- Print Client Work-Order
-
- * Option Grid: Work-Order Print
- ┌─────────────────────────────────────────────┬─────────────────────┐
- │ Date to utilize for Work-Order │ 12/13/91 │▒
- ├─────────────────────────────────────────────┼─────────────────────┤▒
- │ Print underlines to aide written entry │ Y Yes/No │▒
- ├─────────────────────────────────────────────┼─────────────────────┤▒
- │ Utilize Custom Invoice printing feature │ Y Yes/No │▒
- ├─────────────────────────────────────────────┼─────────────────────┤▒
- │ Number of copies to generate │ 1 1 to 99 │▒
- ├─────────────────────────────────────────────┼─────────────────────┤▒
- │ Utilize Work-Order as Client's Invoice │ Y Yes/No │▒
- ├─────────────────────────────────────────────┼─────────────────────┤▒
- │ Payment Terms to utilize │ Net 10 Days │▒
- ├─────────────────────────────────────────────┼─────────────────────┤▒
- │ Net Due Days from Terms to utilize │ 10 │▒
- └─────────────────────────────────────────────┴─────────────────────┘▒
- ▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒
-
-
- Next you are asked how many copies of the work order you wish to
- generate. The default is one (1) copy, but you may change this if
- you wish. If you enter the number two (2), then two copies of the
- work order will be printed, and so on.
-
- The next prompt is quite important. It ask if you intend to
- utilize the work order as the client invoice as well. If you
- indicate that you do, a line will print on the header portion of
- the work order to the effect of "THIS WORK ORDER IS ALSO YOUR
- INVOICE". In addition, a due date will be calculated and printed
- on the bottom portion of the work order. If you do not wish the
- work order to double as an invoice (you probably intend to create
- and mail the invoice at a later date), a line will print on the
- header portion of the work order to the effect of "YOU WILL BE
- INVOICED AT A LATER DATE". Enter "Y" for yes or "N" for no.
-
- Business Accounting System Rev. 1.0 Page 33
-
- If you answered yes to the aforementioned prompt, you are then
- asked to provide the payment terms and the net due days for the
- work order/invoice. The terms will print on the header portion of
- the work order, and the net due days are utilized in conjunction
- with the work order date to calculate and print a due date.
-
- As work orders are generated and printed, the BA system will
- generate and print a unique work order number. The number
- generated will be between 1 and 999999. Its primary purpose is
- to serve as a reference number for both you and your client. At a
- later point, when you actually create the client invoice, you may
- wish to reference the original Work Order number.
-
- CLIENT PROFILE SHEET
-
-
- ▓▓▓▓▓▓▓▓▓▓▓▓▓▓▓▓▓▓▓▓▓▓▓▓▓▓▓▓▓▓▓▓▓▓▓▓▓▓▓
- ▓▓ ▓▓
- ▓▓ ┌──────────────────────┐ ▓▓
- ▓▓ │ Print Menu │▒ ▓▓
- ▓▓ ├──────────────────────┤▒ ▓▓
- ▓▓ │ Work Order │▒ ▓▓
- ▓▓ │>> Client Profile <<│▒ ▓▓
- ▓▓ │ Mailing Label │▒ ▓▓
- ▓▓ │ Activity Reports │▒ ▓▓
- ▓▓ │ Statement │▒ ▓▓
- ▓▓ │ │▒ ▓▓
- ▓▓ │ Press Esc to exit │▒ ▓▓
- ▓▓ └──────────────────────┘▒ ▓▓
- ▓▓ ▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒ ▓▓
- ▓▓ ▓▓
- ▓▓ ▓▓
- ▓▓▓▓▓▓▓▓▓▓▓▓▓▓▓▓▓▓▓▓▓▓▓▓▓▓▓▓▓▓▓▓▓▓▓▓▓▓▓
-
-
-
- The Client Profile is basically a printed format of the existing
- client screen and includes any notes which have been entered into
- the notepad. It is a print only report.
-
- CLIENT MAILING LABEL
-
- Select this option to print a single mailing label for this
- client. You may also batch print mailing labels for clients by
- selecting the Mailing Labels option available on the Printing
- submenu of the Main Menu screen. Labels supported by the BA
- system are the standard one-up, one inch deep labels available at
- most every office/computer supply store.
-
-
- Business Accounting System Rev. 1.0 Page 34
-
- ▓▓▓▓▓▓▓▓▓▓▓▓▓▓▓▓▓▓▓▓▓▓▓▓▓▓▓▓▓▓▓▓▓▓▓▓▓▓▓
- ▓▓ ▓▓
- ▓▓ ┌──────────────────────┐ ▓▓
- ▓▓ │ Print Menu │▒ ▓▓
- ▓▓ ├──────────────────────┤▒ ▓▓
- ▓▓ │ Work Order │▒ ▓▓
- ▓▓ │ Client Profile │▒ ▓▓
- ▓▓ │>> Mailing Label <<│▒ ▓▓
- ▓▓ │ Activity Reports │▒ ▓▓
- ▓▓ │ Statement │▒ ▓▓
- ▓▓ │ │▒ ▓▓
- ▓▓ │ Press Esc to exit │▒ ▓▓
- ▓▓ └──────────────────────┘▒ ▓▓
- ▓▓ ▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒ ▓▓
- ▓▓ ▓▓
- ▓▓ ▓▓
- ▓▓▓▓▓▓▓▓▓▓▓▓▓▓▓▓▓▓▓▓▓▓▓▓▓▓▓▓▓▓▓▓▓▓▓▓▓▓▓
-
-
- Once you select this option, you will be asked to prepare the
- printing device with labels, and asked if you wish to print an
- alignment test. You will continue to be prompted for an alignment
- test until you answer no.
-
- Once the labels are aligned, you will be asked if you are ready
- to print. Answer yes or no appropriately. When printing has been
- completed, you will be returned to the Print menu.
-
- ACTIVITY REPORTS
-
-
- ▓▓▓▓▓▓▓▓▓▓▓▓▓▓▓▓▓▓▓▓▓▓▓▓▓▓▓▓▓▓▓▓▓▓▓▓▓▓▓
- ▓▓ ▓▓
- ▓▓ ┌──────────────────────┐ ▓▓
- ▓▓ │ Print Menu │▒ ▓▓
- ▓▓ ├──────────────────────┤▒ ▓▓
- ▓▓ │ Work Order │▒ ▓▓
- ▓▓ │ Client Profile │▒ ▓▓
- ▓▓ │ Mailing Label │▒ ▓▓
- ▓▓ │>> Activity Reports <<│▒ ▓▓
- ▓▓ │ Statement │▒ ▓▓
- ▓▓ │ │▒ ▓▓
- ▓▓ │ Press Esc to exit │▒ ▓▓
- ▓▓ └──────────────────────┘▒ ▓▓
- ▓▓ ▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒ ▓▓
- ▓▓ ▓▓
- ▓▓▓▓▓▓▓▓▓▓▓▓▓▓▓▓▓▓▓▓▓▓▓▓▓▓▓▓▓▓▓▓▓▓▓▓▓▓▓
-
- Two types of activity reports are available, and each may be
- displayed to the screen, or printed on a printing device. You
- have the choice of selecting billing history or payment history.
- Once you have selected this option, you are then asked if you
- wish to display or print the listing. Answer "D" for display or
- "P" to print. Press [Esc] if you wish to abort your selection.
-
- Business Accounting System Rev. 1.0 Page 35
-
- Next you will be presented with an option grid. First, you must
- select the type of activity report, either billing or payment
- activity. Enter "B" for billing or "P" for payment. The remainder
- of the grid prompts will vary depending upon your selection.
-
-
- If you select billing activity, you are then asked to specify
- the type of billing invoices, either debit invoices only, credit
- invoices only, or all invoices. Debit invoices are designated
- with invoice type "I" for invoice, or "F" for finance charge
- invoices. Credit invoices are designated with invoice type "C"
- for credit memo, or "R" for receipt invoice. Enter "A" for all
- invoices, "I" for debit invoices, or "C" for credit invoices.
-
- Next you should indicate the scope of invoices to print. Enter
- "A" for all, "O" for open balance only, or "C" for closed balance
- only.
-
- Next indicate the invoice file you wish to utilize, either the
- current year file, or last year's file. Enter "C" for current
- year or "L" for last year.
-
-
- 12/13/91 Interstellar Systems, Inc. Friday
- ────────────────────────── Business Accounting System ─────────────────────────
- Client Activity Report
-
- * Option Grid: Display AIFS Activity Reports
- ┌─────────────────────────────────────────────┬─────────────────────┐
- │ Report Type: Billing or Payment │ B B or P │▒
- ├─────────────────────────────────────────────┼─────────────────────┤▒
- │ Billing type: All/Invoices/Credits │ A A/I/C │▒
- ├─────────────────────────────────────────────┼─────────────────────┤▒
- │ Report scope: All/Open only/Closed only │ A │▒
- ├─────────────────────────────────────────────┼─────────────────────┤▒
- │ File to utilize: Current year or Last year │ C C or L │▒
- ├─────────────────────────────────────────────┼─────────────────────┤▒
- │ Reporting periods (blank omits a range) │ thru │▒
- ├─────────────────────────────────────────────┼─────────────────────┤▒
- │ Begin Invoice date (blank to omit) │ / / │▒
- ├─────────────────────────────────────────────┼─────────────────────┤▒
- │ End Invoice date (blank to omit) │ / / │▒
- └─────────────────────────────────────────────┴─────────────────────┘▒
- ▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒
-
-
- The next three lines of grid entries are optional. You may
- indicate a reporting period range to print and/or an invoice date
- range to print. Each one has both a begin and end range. You may
- enter either one of the two, both of them, or leave both blank to
- omit this feature.
-
- If you selected payment activity report, its grid prompts are
- slightly different. You must then select a payment type to
- generate. Each of these are discussed in detail in the accounting
- section of this documentation. Enter "A" for all types, "R" for
- payment receipt types, "C" for credits applied, or "W" for write-
- off adjustments.
-
- Business Accounting System Rev. 1.0 Page 36
-
- Next indicate the file you wish to utilize. Enter "C" for the
- current year file, or "L" for last year's file.
-
-
- 12/13/91 Interstellar Systems, Inc. Friday
- ─────────────────────────── Business Accounting System ─────────────────────────
- Client Activity Report
-
- * Option Grid: Display AIFS Activity Reports
- ┌─────────────────────────────────────────────┬─────────────────────┐
- │ Report Type: Billing or Payment │ P B or P │▒
- ├─────────────────────────────────────────────┼─────────────────────┤▒
- │ Payment type: All/Receipt/Cr.apply/Wroff │ A A/R/C/W │▒
- ├─────────────────────────────────────────────┼─────────────────────┤▒
- │ File to utilize: Current year or Last year │ C C or L │▒
- ├─────────────────────────────────────────────┼─────────────────────┤▒
- │ Reporting periods (blank omits a range) │ thru │▒
- ├─────────────────────────────────────────────┼─────────────────────┤▒
- │ Begin Transaction date (blank to omit) │ / / │▒
- ├─────────────────────────────────────────────┼─────────────────────┤▒
- │ End Transaction date (blank to omit) │ / / │▒
- ├─────────────────────────────────────────────┼─────────────────────┤▒
- │ │ │▒
- └─────────────────────────────────────────────┴─────────────────────┘▒
- ▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒
-
-
- The next three lines of grid entries are optional. You may
- indicate a reporting period range to print and/or a transaction
- date range to print. Each one has both a begin and end range. You
- may enter either one of the two, both of them, or leave both
- blank to omit this feature.
-
- If you chose to print the report, you will be reminded to prepare
- your printing device. If you chose to display the report, you
- will be allowed to abort the report between screens. Once
- reporting has been completed, you will be returned to the print
- menu.
-
- CLIENT STATEMENT
-
- The accounts receivable statements may be generated from within
- one of two places within the BA system. If you wish to print a
- statement for just one select client at at time, you may do so
- from this print menu. If you wish to batch print client
- statements, you may do so from the Printing submenu of the Main
- Menu screen.
-
- The BA system accounts receivable statements have been specially
- designed to print on preprinted statements available from
- different suppliers. A Rapidforms (Tel. 800-257-8354) format is
- available as the stock unit number 7Y2919. A more expensive
- Harland Printing (Tel. 800-443-5521) format is available as the
- stock unit number S-CS23. Check with your local printer also as
- they may already have these forms in stock at an even lower
- price.
-
- Business Accounting System Rev. 1.0 Page 37
-
-
- ▓▓▓▓▓▓▓▓▓▓▓▓▓▓▓▓▓▓▓▓▓▓▓▓▓▓▓▓▓▓▓▓▓▓▓▓▓▓▓
- ▓▓ ▓▓
- ▓▓ ┌──────────────────────┐ ▓▓
- ▓▓ │ Print Menu │▒ ▓▓
- ▓▓ ├──────────────────────┤▒ ▓▓
- ▓▓ │ Work Order │▒ ▓▓
- ▓▓ │ Client Profile │▒ ▓▓
- ▓▓ │ Mailing Label │▒ ▓▓
- ▓▓ │ Activity Reports │▒ ▓▓
- ▓▓ │>> Statement <<│▒ ▓▓
- ▓▓ │ │▒ ▓▓
- ▓▓ │ Press Esc to exit │▒ ▓▓
- ▓▓ └──────────────────────┘▒ ▓▓
- ▓▓ ▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒ ▓▓
- ▓▓ ▓▓
- ▓▓ ▓▓
- ▓▓▓▓▓▓▓▓▓▓▓▓▓▓▓▓▓▓▓▓▓▓▓▓▓▓▓▓▓▓▓▓▓▓▓▓▓▓▓
-
- The current format of BA system statements is often referred to
- as an invoice balance format. With this format only open invoices
- are listed, each with its corresponding date, invoice number,
- reference, total, and balance due. It also includes a perforated
- right portion on which the client is instructed to tear off and
- return it with their remittance.
-
- Once you select this option, a grid will then be made available
- to you. First you must indicate the method you wish to utilize in
- aging the invoices. You may select to age invoices from either
- the invoice date, or age the invoices from the due date. Either
- method is an accepted accounting practice. Enter "I" for invoice
- date or "D" for due date.
-
- Next you are asked if you wish to age any credits which may exist
- within the Current aging window. Answer "Y" for yes or "N" for no
- if you wish credits to be aged in the same manner as debit
- balances. Once again, either method is an accepted accounting
- practice.
-
- From the next four grid lines, you will define the aging windows
- to be utilized by the statement. Enter the number of days for
- each of the respective windows. The Current window will be
- defined as the number of days up to the first window you specify
- as default. Utilize any combination you wish such as 10, 20, 30,
- 45 or 30, 60, 90, 120.
-
- Any parameters you enter in the grid are saved into the BA system
- for future retrieval. This way you don't have to change the grid
- parameters each time you utilize the grid. Batch printing of
- statements and the Open Receivables Aging Analysis both utilize
- these identical grid parameters.
-
- Business Accounting System Rev. 1.0 Page 38
-
- 12/13/91 Interstellar Systems, Inc. Friday
- ─────────────────────────── Business Accounting System ────────────────────────
- Print Client Statements
-
- * Option Grid: AR Statement for AIFS
- ┌─────────────────────────────────────────────┬─────────────────────┐
- │ Age from: Invoice date or Due date │ I I or D │▒
- ├─────────────────────────────────────────────┼─────────────────────┤▒
- │ Age Credits within Current window │ Y Y or N │▒
- ├─────────────────────────────────────────────┼─────────────────────┤▒
- │ Number days: 1st aging window │ 10 │▒
- ├─────────────────────────────────────────────┼─────────────────────┤▒
- │ Number days: 2nd aging window │ 20 │▒
- ├─────────────────────────────────────────────┼─────────────────────┤▒
- │ Number days: 3rd aging window │ 30 │▒
- ├─────────────────────────────────────────────┼─────────────────────┤▒
- │ Number days: 4th aging window │ 45 │▒
- └─────────────────────────────────────────────┴─────────────────────┘▒
- ▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒
-
-
- Once grid entry has been completed, you will be asked if you wish
- to print an alignment test. Such a test allows you to line up the
- printed data with the preprinted format. Answer yes or no
- appropriately. Note also that the printing of your company name
- and address block can be suppressed from printing, and is done so
- from the Installation screen which has already been described.
- Once statement printing has been completed, you will be returned
- to the print menu.
-
-
- Business Accounting System Rev. 1.0 Page 39
-
- THE ACCOUNTING MENU
-
- Once a client has been set up on the BA System, you may then
- begin the process billing and accounts receivable maintenance.
- This is accomplished by selecting option "A" , Accounting, from
- the client screen horizontal menu. From this menu, you will be
- able to create invoices, modify or review existing invoices,
- print or reprint invoices, enter invoice payments or payment
- corrections, post client deposits, apply credits to invoices,and
- post write-offs adjustments to invoices.
-
- ┌─────────────────────────── Client File Maintenance ──────────────────────────┐
- │ │
- │ Client ID ───> AIFS * NOTES * │
- │ Client Name ─> ACME Insurance & Financial Services │
- │ Department ──> Accounting │
- │ Address1 ────> 122 E. Franklin St. │
- │ Address2 ────> Suite 105 │
- │ City ────────> Chapel Hill St NC Zipcode 27611-1234 │
- │ │
- │ Status ┌──────────────────────┐harge (Y/N) ─> Y Type ─> INS Code ─> MCL │
- │ │ Accounting Menu │▒ │
- │ Contact├──────────────────────┤▒ Contact2 > Winston Jefferson │
- │ Phone1 │ Create Invoices │▒201 Phone2 ──> ( ) - Ext. 1205 │
- │ Fax ───│ Review Invoices │▒ │
- │ │ Enter Payments │▒ │
- │ Other I│ Apply Credits │▒accounting with Novell │
- │ │ Post Write-offs │▒ │
- │ YT│ │▒d AR Balance Unappl.Credit │
- │ $ │ Press Esc to exit │▒0 $ 0.00 $ 0.00 │
- │ └──────────────────────┘▒ │
- │ ▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒ │
- └──────────────────────────────────────────────────────────────────────────────┘
-
- From the Accounting Menu, utilize the UP and DOWN arrow keys to
- position the light-bar over the appropriate choice, or press the
- first letter of the choice you wish to select. First let's
- examine the process of creating an invoice.
-
- CREATE A CLIENT INVOICE
-
- ▓▓▓▓▓▓▓▓▓▓▓▓▓▓▓▓▓▓▓▓▓▓▓▓▓▓▓▓▓▓▓▓▓▓▓▓▓▓▓
- ▓▓ ▓▓
- ▓▓ ┌──────────────────────┐ ▓▓
- ▓▓ │ Accounting Menu │▒ ▓▓
- ▓▓ ├──────────────────────┤▒ ▓▓
- ▓▓ │>> Create Invoices <<│▒ ▓▓
- ▓▓ │ Review Invoices │▒ ▓▓
- ▓▓ │ Enter Payments │▒ ▓▓
- ▓▓ │ Apply Credits │▒ ▓▓
- ▓▓ │ Post Write-offs │▒ ▓▓
- ▓▓ │ │▒ ▓▓
- ▓▓ │ Press Esc to exit │▒ ▓▓
- ▓▓ └──────────────────────┘▒ ▓▓
- ▓▓ ▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒ ▓▓
- ▓▓ ▓▓
- ▓▓▓▓▓▓▓▓▓▓▓▓▓▓▓▓▓▓▓▓▓▓▓▓▓▓▓▓▓▓▓▓▓▓▓▓▓▓▓
-
-
- Business Accounting System Rev. 1.0 Page 40
-
- Once you select the "Create Invoices" option, you will be
- presented with a new screen. Two separate screens can be utilized
- in creating an invoice. This first screen is known as the invoice
- header screen, so called because it represents the header portion
- of the printed invoice.
-
- On the header screen, the client's name, department, and mailing
- address is displayed on the upper left portion of the screen.
- Below this boxed area is the invoice header information which you
- must complete. Press [Esc] at any time during header entry if you
- wish to abort the process. When you press [Esc], you will be
- returned to the Accounting Menu of the client screen.
-
- The Invoice Number is a system generated number which increments
- by one each time you create a new invoice. The maximum invoice
- number which can be assigned is '999999'. When this maximum is
- reached, the invoice numbering will restart with number '1'.
-
- First within the header, you must identify the Type of invoice
- you are creating. From this area, you may only choose from two
- types of invoices, although there are a few additional types
- supported by the BA System. The other invoice types will be
- discussed in greater detail later. For now, you must enter the
- letter "I" for invoice (a debit invoice), or the letter "C" for a
- credit invoice (a credit memo). A credit memo obviously implies a
- credit balance will be created for the client.
-
- Next you must select the type of Entry, either Detail or Manual.
- Detail entry essentially means you intend to create detailed line
- items on the invoice. These line items are represented by the
- Item Codes which you have already set up. Manual entry on the
- other hand means that you do not intend to create any invoice
- line items; you only intend to enter an invoice total. For the
- most part, you will probably always select Detail entry. If you
- are setting up this software and trying to input beginning
- client balances, and you don't wish to create detail invoices,
- then you might wish to set up the beginning balances as a Manual
- entry to save time.
-
- Next you must specify the Reporting Period for the invoice. Most
- all the report registers are sorted and subtotaled by reporting
- period. The BA System provides you with the ability to post any
- invoice within any reporting period of the current year. The
- reporting period you enter must be between 01 and 12. Any period
- you enter less than 10 must be preceded by a zero
- (02,03,04,etc.).
-
- Next you must enter the invoice date. It will have a default
- entry corresponding to the present System Date. The date you
- enter here must be in the MM/DD/YR format and must be a valid
- calendar date in order to be accepted.
-
- Business Accounting System Rev. 1.0 Page 41
-
- 11/27/91 Interstellar Systems, Inc. Wednesday
- ─────────────────────────── Business Accounting System ────────────────────────
- Create Invoices
-
- ┌─ Bill To ────────────────────────────┐
- │ │▒
- │ ACME Insurance & Financial Services │▒
- │ Accounting │▒
- │ 122 E. Franklin St. │▒
- │ Suite 105 │▒
- │ Chapel Hill, NC 27611-1234 │▒
- │ ┌────────────────────────────────────────────────────────────────┐
- │ │ Invoice Number ────> 1 │▒
- └───│ Rept.Period ───> 11 │▒
- ▓▓│ Type (Invoice/Credit) ──> I Invoice Date ──> 11/27/91 │▒
- │ Entry (Detail/Manual) ──> D Sales Tax Rate > 6.000 │▒
- │ │▒
- │ Inv. Reference ──> W/O 101 Client Rep. ───> ROD │▒
- │ Payment Terms ───> Net 10 Days Net Due Days ──> 10 │▒
- └────────────────────────────────────────────────────────────────┘▒
- ▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒
-
-
- Next you must indicate your state sales tax rate, if applicable
- to this invoice. The default Sales Tax Rate is supplied from the
- Installation screen which was discussed earlier. This is a
- percentage rate and not a decimal rate. If you do not intend to
- post any taxable line items on the invoice, you might want to
- change this rate to 0.00, but this is not a requirement. Only
- those line items you indicate as taxable will have a sales tax
- amount calculated.
-
- Next you will supply an Invoice Reference. As with the Sales Tax
- Rate, this is likewise a default from the Installation screen.
- Enter anything you wish here but be aware that whatever you enter
- will be printed on the client invoice.
-
- Next enter the textual Payment Terms for the invoice. It is
- likewise a default from the Installation screen.
-
- If you wish, you may also indicate a Client Representative
- assigned for this particular invoice. Presently, the
- Representative is printed on the invoice register.
-
- Lastly, you must supply the Net Due Days for the invoice in a
- numeric format. This is essentially a repeat of the Payment Terms
- you have entered. The number you enter here is used in
- calculating the Due Date for the invoice, which in turn, is
- utilized by the Open Receivables Aging Report and Client
- Statements. It is also a default from the Installation screen.
-
- Once you have completed all header entries, you are then prompted
- for an action. You may press "C" to continue with invoice entry,
- "E" to edit the header information once again, or "Q" to quit and
- abort invoice entry. If you choose to quit, you will be returned
- to the Accounting Menu of the client screen.
- When you select to continue with invoice entry, different things
- will happen depending upon the type of Entry you indicated,
- either Detailed or Manual.
-
- Business Accounting System Rev. 1.0 Page 42
-
- CREATE A MANUAL INVOICE
-
- If you selected Manual entry, a window will then appear in the
- upper right portion of the screen. You will then be asked to
- enter the Subtotal Amount of the Invoice. If you are creating an
- Invoice, you must enter an amount greater than zero. If creating
- a Credit, you must enter an amount less than zero. The Amount of
- Sales Tax will then be calculated according the Sales Tax Rate
- you provided. You cannot modify the Sales Tax Amount. If not all
- of the Invoice Subtotal is taxable, then you will have to utilize
- Detail entry, or create multiple Manual Invoices.
-
- From the Subtotal and Sales Tax amounts, the Total Invoice amount
- will then be displayed. If creating an invoice, you are then
- prompted to enter the Amount Paid, if any. If you have a payment
- to apply against this Manual Invoice, you may enter that amount
- now.
-
- If you entered a payment amount greater than zero, you will then
- be asked to provide a Payment Reference, Payment Date, and
- Reporting Period to post the payment within. Once you have
- completed these entries, you will be asked if the payment
- information is correct. Press "Y" for yes if correct, otherwise
- press "N" for no and you will be allowed to re-enter the payment
- information.
-
- Once you indicate the information is correct, you will then be
- asked if you wish to post this invoice to the live system files.
- This is your last chance to abort entry, so answer carefully.
- Press "Y" for yes if you wish to post the Manual Invoice. If you
- answer "N", the invoice will be discarded and the process of
- creating an invoice will begin again. If you wish to exit from
- here, press [Esc].
-
- CREATE A DETAILED INVOICE
-
- Once you have completed the header screen, and you selected
- Detail entry, you will then be presented with a new screen for
- detailed invoice entry. From this screen, you will post invoice
- line items from your library of Item Codes. All detail posting
- takes place in temporary files and is not posted to the live
- system files until you indicate so at a final prompt. While you
- are posting line items, you will also be allowed to edit or
- modify any line item you may have already posted for the current
- invoice.
-
- The detailed screen can accommodate three invoice line items at a
- time. Once the third line item has been posted, the last line you
- entered will occupy the first line item area, and the remaining
- two line item screen areas will be blanked out.
-
- Within the detailed screen, you are first asked to provide an
- Item Code for billing. When you are finished making line item
- entries, press [Esc] when prompted for an Item Code. Once you
- have entered an Item Code, the system will then check for its
- existence on file. If if fails to locate the item, it will inform
- you of this. The BA System also provides the ability to create
- the Item Code while invoicing. If you are told that the Item Code
- does not currently exist on file, and you wish to create it,
- press the F2 key.
-
- Business Accounting System Rev. 1.0 Page 43
-
- ▓▓▓▓▓▓▓▓▓▓▓▓▓▓▓▓▓▓▓▓▓▓▓▓▓▓▓▓▓▓▓▓▓▓▓▓▓▓▓▓▓▓▓▓▓▓▓
- ▓▓ ▓▓
- ▓▓ ┌───────────────────────────────────┐ ▓▓
- ▓▓ │ │▒ ▓▓
- ▓▓ │ Item Code not presently on file. │▒ ▓▓
- ▓▓ │ Press F2 key to create or │▒ ▓▓
- ▓▓ │ any other key to re-enter... │▒ ▓▓
- ▓▓ │ │▒ ▓▓
- ▓▓ └───────────────────────────────────┘▒ ▓▓
- ▓▓ ▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒ ▓▓
- ▓▓ ▓▓
- ▓▓▓▓▓▓▓▓▓▓▓▓▓▓▓▓▓▓▓▓▓▓▓▓▓▓▓▓▓▓▓▓▓▓▓▓▓▓▓▓▓▓▓▓▓▓▓
-
-
- Once you press F2, the screen will change and you must then enter
- the necessary information needed for the Item Code. Refer to the
- previous discussion in creating Item Codes for additional
- information.
-
- You may if you wish press the F10 key to perform a "hot-key"
- look-up of Item Codes. The "hot-key" will allow you to retrieve
- an Item Code by either partial entry of Item Code or Item
- Description. It is utilized throughout the BA System, so always
- look for its availability. When you press F10, follow the
- aforementioned directions for performing a look-up of Item Codes.
- The below screen is representative of the "hot-key" look-up
- during detail line item entry.
-
- Once a valid Item Code has been provided, its corresponding
- information will also be retrieved on to the detail screen. The
- cursor will then be placed within the description field. If you
- need to revise the description, you may do so, or press [Enter]
- to skip to the next field.
-
- Next you must indicate the Taxable status of the line item. If
- taxable, enter the letter "Y" for yes, otherwise enter "N" for
- no. If you enter a "Y", sales tax for this line item will be
- calculated based upon the sales tax rate you entered on the
- header screen and the extended price of the line item.
-
-
- Business Accounting System Rev. 1.0 Page 44
-
- ┌──────────────────────────── Create Detail Invoice ───────────────────────────┐
- │ AIFS / ACME Insurance & Financial Services - Accounting │
- │Subtotal > $ 0.00 Sales Tax > $ 0.00 Total Invoice > $ 0.00 │
- ├──────────────────────────────────────────────────────────────────────────────┤
- │ Seq Item Code Type Description Tax Disc% Units │
- │ Notes UnitCost UnitPrice Ext.Price │
- ├──────────────────────────────────────────────────────────────────────────────┤
- │ 1 │
- │ │
- │ ┌────────────────────────────────────────────────────────────────┐ │
- │ │ Item Code Description Type Categ │▒ │
- ├─────────├────────────────────────────────────────────────────────────────┤▒──┤
- │ │ COMPINST Compile/Install Software Support S SUP │▒ │
- │ │ CONSULT Systems Consulting S SUP │▒ │
- │ │ MISC Misc Item S │▒ │
- │ │ PROGSUPP Programming Support S PRO │▒ │
- ├─────────│ PROJPROG Project Programming S PRO │▒──┤
- │ │ SAP-MSRC Superior AP, 2.2 Multiuser Source P SUP │▒ │
- │ │ SAR-MSRC Superior AR, 2.2 Multiuser Source P SUP │▒ │
- │ │ SGL-MSRC Superior GL, 2.5 Multiuse Source P SUP │▒ │
- │ │ SPR-MSRC Superior PR, 2.5 Multiuser Source P SUP │▒ │
- └─────────└────────────────────────────────────────────────────────────────┘▒──┘
- ▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒
-
-
- You may also indicate a Discount Percentage for this line item if
- you wish. The default is zero percent, but you may change this if
- you wish. This is a percentage rate and not a decimal rate (10.0
- % would be entered as 10.0).
-
- Next you must indicate the number of units being billed. The
- default entry is 1.0 but you may change this. One decimal place
- is also provided in the units field. If you are creating a Credit
- Memo, you must enter the Units as a negative number.
-
- Next you must enter the Unit Cost, if applicable, and the Unit
- Price of the line item. Once you have completed the Cost and
- Price, the Extended price will then be calculated and displayed.
-
- One of the outstanding features of the BA System is the ability
- to create and attach a supplemental description or notes to each
- line item on the invoice. The cursor should now be positioned
- within the Notes area directly under the Item Code. Here you may
- enter anything you wish about this item. The mechanism also has a
- "word-wrapping" capability. There is no practical limit to the
- amount of additional information you may enter. Whatever
- information you enter here will also print on the client invoice.
-
- The main two keys you will find useful during note entry are the
- F10 key and [Esc], and they are the only two keys which will
- allow you to exit the note area. The difference between the two
- keys is that [Esc] will not save any changes you made to the note
- area, and F10 will. Again, be creative here and enter anything
- you wish.
-
- Business Accounting System Rev. 1.0 Page 45
-
- Once you have completed note entry, you will then be asked if you
- wish to post this line item to the temporary invoice file. Answer
- "Y" for yes and the entry will be saved. Answer "N" for no and
- the entry will be aborted. Answer "E" to edit the line item again.
-
-
- ┌──────────────────────────── Create Detail Invoice ───────────────────────────┐
- │ AIFS / ACME Insurance & Financial Services - Accounting │
- │Subtotal > $ 845.00 Sales Tax > $ 21.30 Total Invoice > $ 866.30 │
- ├──────────────────────────────────────────────────────────────────────────────┤
- │ Seq Item Code Type Description Tax Disc% Units │
- │ Notes UnitCost UnitPrice Ext.Price │
- ├──────────────────────────────────────────────────────────────────────────────┤
- │ 1 SPR-MSRC P Superior PR, 2.5 Multiuser Source Y 0.0 % 1.0 │
- │ Serial No. PR100-1234 │
- │ 275.000 355.00 │
- │ 355.00 │
- ├──────────────────────────────────────────────────────────────────────────────┤
- │ 2 PROGSUPP S Programming Support N 0.0 % 10.0 │
- │ Revise Payroll Check Register to │
- │ print and sort by Agency Office; 0.000 40.00 │
- │ create new Payroll Summary Report 400.00 │
- ├──────────────────────────────────────────────────────────────────────────────┤
- │ 3 COMPINST S Compile/Install Software Support N 0.0 % 1.0 │
- │ Compile software with Clipper and │
- │ install 0.000 90.00 │
- │ 90.00 │
- └──────────────────────────────────────────────────────────────────────────────┘
-
-
-
- Once you have saved an entry, repeat these steps for each line
- item you wish to create. Note also the recap information on the
- top area of the screen. This area indicates the current Subtotal
- amount, the Sales Tax amount, and the Total Invoice amount. Once
- you have finished, press [Esc] when prompted for an Item code.
-
- Once you have pressed [Esc] you must then select an action from
- the horizontal menu which will appear on the bottom line of the
- screen. From this menu, you may edit or delete any line item you
- have posted (in this instance, delete actually performs a purge),
- add additional line items to the invoice, skip forward to the
- next screen of line items (if any), skip backwards to the
- previous screen of line items (if any), post all invoice line
- items, or cancel and abort all entries.
-
- Press "F" to skip forward to the next screen of line items, if
- any exists. This will not be an available choice if none exists
- beyond the current screen.
-
- Press "B" to to backward to the previous screen of line items, if
- any exists. This will not be an available choice if none exists
- prior to the current screen.
-
- If you wish to add additional line items press "A" and repeat the
- aforementioned steps for creating a line item.
-
- Business Accounting System Rev. 1.0 Page 46
-
- If you wish to post these line items, press "P", or if you wish
- to abort all entries, press "C" to cancel. Both selections will
- exit you from the detail entry screen.
-
- If you wish to edit or delete any line item you have entered for
- this invoice, press "M" to modify. When you select to modify,
- another menu will appear on the bottom line of the screen. Here
- again, you may select to post, cancel, or add additional line
- items.
-
- If you wish to edit a line item on the current screen, press "E".
- When you select to edit, you are then asked to enter the
- Sequence Number of the line item you wish to edit. This Sequence
- Number resides on the leftmost column of the screen and will
- always be a number between 1 and 3. Enter the line number you
- wish to edit or press [Esc] to abort the edit. Once you have
- provided a valid sequence number, you may then edit the line.
- From here make any changes you need to make to the line item.
- When you are inside the Notes area, remember to press [Esc] to
- abort any changes or F10 to save any changes to the notes. When
- you have finished, you will be asked if you wish to save any
- changes you may have made. Answer yes or no appropriately.
-
- If you wish to delete (or remove) any line item on the current
- screen, press "D". As with editing, you are then asked to provide
- a Sequence Number of the line you wish to delete. You should then
- enter that number or press [Esc] to abort the deletion. Once you
- have provided a valid sequence number, the line you selected will
- then be highlighted. You will then be asked if you are sure you
- wish to delete this line. Answer yes or no appropriately. If you
- inadvertently delete a line item you did not intend to, you
- cannot recall it, and you must recreate it by selecting to add an
- another line item.
-
- If you selected to cancel the invoice, no information will be
- saved and you will be returned to the header screen. From here
- you may create another invoice, or you may exit by pressing
- [Esc].
-
- If you selected to post the invoice, the header screen will then
- be restored and the Invoice totals will be displayed within a
- window in the upper right portion of the screen. You are then
- asked to enter an Amount Paid for this invoice. If no payment
- entry is needed, then enter 0.00.
-
- If you enter a payment amount here, you are then asked to enter a
- payment reference, payment date, and a reporting period for the
- payment. If the payment amount you enter exceeds the invoice
- total, you will be issued a warning to this effect, and asked if
- you wish to re-enter the amount. Any over-payment portion will be
- posted to a Receipt Invoice by the BA System. The Receipt Invoice
- represents another Invoice Type.
-
-
- Business Accounting System Rev. 1.0 Page 47
-
- 11/27/91 Interstellar Systems, Inc. Wednesday
- ─────────────────────────── Business Accounting System ─────────────────────────
- Create Inv┌───────── Recap Summary ─────────┐
- │ Invoice Subt. ──> 845.00 │▒
- ┌─ Bill To ────────────────────────────┐ │ Sales Tax ──────> 21.30 │▒
- │ │▒ │ Total Invoice ──> 866.30 │▒
- │ ACME Insurance & Financial Services │▒ │ │▒
- │ Accounting │▒ │ Amount Paid ────> 0.00 │▒
- │ 122 E. Franklin St. │▒ │ │▒
- │ Suite 105 │▒ │ │▒
- │ Chapel Hill, NC 27611-1234 │▒ │ │▒
- │ ┌─────────────────────────────────────│ Balance Due ────> 866.30 │▒
- │ │ Invoice Number ────> 1 └─────────────────────────────────┘▒
- └───│ Rep▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒
- ▒▒│ Type (Invoice/Credit) ──> I Invoice Date ──> 11/27/91 │▒
- │ Entry (Detail/Manual) ──> D Sales Tax Rate > 6.000 │▒
- │ │▒
- │ Inv. Reference ──> W/O 101 Client Rep. ───> ROD │▒
- │ Payment Terms ───> Net 10 Days Net Due Days ──> 10 │▒
- └────────────────────────────────────────────────────────────────┘▒
- ▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒
-
-
- Once you have entered all payment information, you will be asked
- if it is correct. If you answer no, you will be allowed to re-
- edit the information.
-
- Finally, you will be asked if you wish to post this invoice or
- credit memo to the live BA System files. This is your last chance
- to abort the invoice so answer carefully. Answer yes or no
- appropriately. If you answer no, all information you have posted
- will be discarded. If you answer yes, the information will be
- saved to the live files.
-
- Once you have saved the information, the system will immediately
- enter the invoice printing mode. You will then be asked to
- provide an action. You may provide one of three responses at this
- prompt. You may print an invoice alignment test (you might
- utilize this if you are utilizing preprinted forms), print the
- actual invoice, or quit. Press "A" to print an alignment invoice
- or "I" to print the client invoice. Please note also that a batch
- mode for invoice printing is also provided by the BA System, so
- you may defer printing to a later time if you wish. You will
- continue to receive this prompt until you answer "Q" to quit.
-
- Once you have quit, the system will prepare for an additional
- invoice entry for this client. If you wish to create another
- invoice for this client, follow the aforementioned steps. If you
- wish to exit now, press [Esc] and you will be returned to the
- Accounting Menu.
-
- REVIEW INVOICES
-
- Once you have created one or more invoices for a given client,
- you may find in necessary to revise or review an invoice. This
- can be accomplished by selecting the "Review Invoices" option
- from the Accounting Menu.
-
- Business Accounting System Rev. 1.0 Page 48
-
- ▓▓▓▓▓▓▓▓▓▓▓▓▓▓▓▓▓▓▓▓▓▓▓▓▓▓▓▓▓▓▓▓▓▓▓▓▓▓▓
- ▓▓ ▓▓
- ▓▓ ┌──────────────────────┐ ▓▓
- ▓▓ │ Accounting Menu │▒ ▓▓
- ▓▓ ├──────────────────────┤▒ ▓▓
- ▓▓ │ Create Invoices │▒ ▓▓
- ▓▓ │>> Review Invoices <<│▒ ▓▓
- ▓▓ │ Enter Payments │▒ ▓▓
- ▓▓ │ Apply Credits │▒ ▓▓
- ▓▓ │ Post Write-offs │▒ ▓▓
- ▓▓ │ │▒ ▓▓
- ▓▓ │ Press Esc to exit │▒ ▓▓
- ▓▓ └──────────────────────┘▒ ▓▓
- ▓▓ ▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒ ▓▓
- ▓▓ ▓▓
- ▓▓▓▓▓▓▓▓▓▓▓▓▓▓▓▓▓▓▓▓▓▓▓▓▓▓▓▓▓▓▓▓▓▓▓▓▓▓▓
-
-
- From this option, you may edit, view, void, or reprint any
- invoice for this client so long as the invoice was created within
- the current year or currently open. Closed invoices older than
- the current year exist only in history files from which only
- reporting can take place.
-
- When you select this option, the system will first check to see
- if any invoices currently exist for this client. If no invoices
- are found, you will be informed of this. If invoices are found, a
- window of those invoices will then appear. Within the window, you
- may utilize the cursor movement keys, or the PageUp and PageDown
- keys to position the light-bar over the specific invoice you wish
- to retrieve. You may then press [Enter] to select that invoice, or
- press [Esc] to abort and return to the Accounting Menu.
-
-
- ┌─────────────────────────── Client File Maintenance ──────────────────────────┐
- │ │
- │ Client ID ───> AIFS * NOTES * │
- │ Client Name ─> ACME Insurance & Financial Services │
- │ Department ──> Accounting │
- │ Address1 ────> 122 E. Franklin St. │
- │ Address2 ────> Suite 105 │
- │ City ────────> Chapel Hill St NC Zipcode 27611-1234 │
- │ ┌────────────────────────────────────────────────────┐ │
- │┌───────────────────┐──│ Inv.No. Inv.Date Type Stat Amount Balance │▒│
- ││ │▒g├────────────────────────────────────────────────────┤▒│
- ││ <--| to select │▒─│ 1 11/27/91 I 866.30 866.30 │▒│
- ││ Esc to abort │▒v│ 2 11/28/91 I 160.00 160.00 │▒│
- ││ || to move │▒v└────────────────────────────────────────────────────┘▒│
- ││ PgUp PgDn to jump │▒men▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒│
- ││ │▒dits │▒accounting with Novell │
- │└───────────────────┘▒e-offs │▒ │
- │ ▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒ │▒d AR Balance Unappl.Credit │
- │ $ │ Press Esc to exit │▒0 $ 1026.30 $ 0.00 │
- │ └──────────────────────┘▒ │
- │ ▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒ │
- └──────────────────────────────────────────────────────────────────────────────┘
-
- Business Accounting System Rev. 1.0 Page 49
-
- Once you have selected an invoice, that invoice will be retrieved
- into a header screen. Within this new screen, you may select an
- action from the horizontal menu located on the bottom line of the
- screen.
-
- From the horizontal menu, you may select to edit the invoice
- header portion, edit or view the detail line items screen, void
- the invoice, reprint the invoice, skip forward to the next
- invoice on file for this client (if one exists), skip backwards
- to the previous invoice on file for this client (if one exists),
- or you may exit and return to the Accounting Menu.
-
- Press "F" to skip forward to the next invoice on file for this
- client. This will not be an available option if there are not any
- invoices past the current invoice.
-
- Press "B" to skip backwards to the previous invoice on file for
- this client. This will not be an available option if there are
- not any invoices which precede the current invoice.
-
- If you wish to void the invoice, press "V". Exercise extreme care
- when voiding an invoice, particularly if you have posted payments
- or applied credits against the invoice. If any payments have been
- posted against the invoice, you will be issued a warning to this
- effect, and you will be asked if you wish the system to
- automatically post reversing entries for these payment(s). In
- other words, you must decide if the payments, which were
- previously posted, are to be reversed. You can if you wish
- reverse out the payments manually via the Enter Payments option
- from the Accounting Menu, or you can choose not to reverse any
- payments applied. You will then be asked if you are sure you wish
- to void the invoice. Answer yes or no appropriately.
-
-
- 11/27/91 Interstellar Systems, Inc. Wednesday
- ─────────────────────────── Business Accounting System ─────────────────────────
- Review Invoices
- ┌───────── Recap Summary ─────────┐
- ┌─ Bill To ────────────────────────────┐ │ │▒
- │ │▒ │ Invoice Subt. ──> 845.00 │▒
- │ ACME Insurance & Financial Services │▒ │ Sales Tax ──────> 21.30 │▒
- │ Accounting │▒ │ Total Invoice ──> 866.30 │▒
- │ 122 E. Franklin St. │▒ │ │▒
- │ Suite 105 │▒ │ Balance Due ────> 866.30 │▒
- │ Chapel Hill, NC 27611-1234 │▒ │ │▒
- │ ┌─────────────────────────────────────└─────────────────────────────────┘▒
- │ │ Invoice Number ────> 1 ▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒
- └───│ Rept.Period ───> C11 │▒
- ▒▒│ Type (Inv/Fn/CM/Rcpt) ──> I Invoice Date ──> 11/27/91 │▒
- │ Level (Detail/Manual) ──> D Sales Tax Rate > 6.000 │▒
- │ │▒
- │ Inv. Reference ──> W/O 101 Client Rep. ───> ROD │▒
- │ Payment Terms ───> Net 10 Days Net Due Days ──> 10 │▒
- └────────────────────────────────────────────────────────────────┘▒
- ▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒
-
- Select: Forward Edit Void Reprint Quit ──> _
-
- Business Accounting System Rev. 1.0 Page 50
-
- To edit either the header screen or the detail screen, press "E".
- Once you select to edit, you will then be asked if you wish to
- edit the Header or Detail screen (this prompt only occurs if this
- is a detailed invoice). Press "H" to edit the header, or "D" to
- edit or view the detail screen.
-
- When editing the header, you will not be able to modify certain
- fields such as the type of invoice, the entry level, or the sales
- tax rate. Once you have finished all entries, you will be asked
- if you wish to save any changes you may have made. Answer yes or
- no appropriately.
-
- If you selected to edit the detail, the screen will change and
- the invoice line items will be displayed. Only three line items
- can be displayed on the screen at a time. You may select an
- action from the horizontal menu located on the bottom line of the
- screen. The options here are very similar to the invoice point-
- of-entry editing options with a couple of minor differences.
- Please note that all editing, additions, and deletions are taking
- place inside temporary files. The live files will not be updated
- with your changes unless you select the "Post" option. Conversely
- you may abort any and all changes you have made to the invoice
- detail by selecting the "Cancel" option.
-
- Press "F' to skip forward to the next screen of line items. This
- will not be an available choice if there are no line items past
- the current screen.
-
- Press "B" to skip backward to the previous screen of line items.
- This will not be an available choice if there are no line items
- previous to the current screen.
-
- Press "E" to edit any line item on the current screen. Once you
- select to edit, you are then asked to enter the Sequence Number
- of the line item you wish to edit. Once you have provided a valid
- sequence number, you may then edit the line. From here make any
- changes you need to make to the line item. When you are inside
- the Notes area, remember to press [Esc] to abort any changes or
- F10 to save any changes to the notes. Please note that if any
- payments or adjustments have been posted against the invoice, you
- will only be allowed to edit the Notes area of the line item.
- When you have finished, you will be asked if you wish to save any
- changes you may have made. Answer yes or no appropriately.
-
- Press "A" if you wish to add another line item to the invoice.
- This option is only available if no payments or adjustments have
- been posted against the invoice. When adding additional line
- items, please follow the same directions provided when creating
- invoice line items. Also, note the availability of the F10 "hot-
- key" for look-up of Item Codes when adding invoice line items.
-
- Press "D" if you wish to delete (or remove) an invoice line item
- on the current screen. This option is only available if no
- payments or adjustments have been posted against the invoice. As
- with editing, you are first asked to provide the Sequence Number
- of the line you wish to delete. Once you have entered a valid
- sequence number, the line you selected will be highlighted. You
- will then be asked if you are sure you wish to delete this line.
- Answer yes or no appropriately.
-
- Business Accounting System Rev. 1.0 Page 51
-
- Once you have completed editing, deletions, or additions, there
- are only two methods to exit. You may press either "P" to post
- any and all changes to the live files, or you may press "C" to
- cancel any and all changes you may have made to the invoice
- detail. If your only intention was to view the line item detail,
- you should always select the "Cancel" option just to be on the
- safe side. When you select to post or cancel, you will then be
- returned to the header screen.
-
- If you made any changes to the invoice, you might wish to reprint
- the invoice. This can be accomplished by selecting the "Reprint"
- menu option from the header screen menu. When you select this
- option, you will have a choice of printing an invoice alignment,
- printing the live invoice, or you may quit printing. You will
- continue to receive this prompt until you press "Q" to quit. If
- you made certain changes to the invoice, you may notice a letter
- printed adjacent to the invoice number. This letter will indicate
- approximately how many times the invoice has been revised. For
- instance, the first time you revise the invoice, the invoice
- number may print out as "100 - A". The next time you edit the
- invoice and make revisions, the number may print out as "100 -
- B". The lettering scheme will not go beyond the letter "Z". A
- message will also print on the invoice to the effect of "THIS IS
- A REVISED INVOICE".
-
- The last option from header menu is the option to quit, letter
- "Q". When you select this option, you will be returned to the
- Accounting Menu.
-
- ENTER PAYMENTS
-
- To post accounts receivable payments, prepayment deposits, or
- reversing entry payments, select the "Enter Payments" option from
- the Accounting Menu.
-
-
-
- ▓▓▓▓▓▓▓▓▓▓▓▓▓▓▓▓▓▓▓▓▓▓▓▓▓▓▓▓▓▓▓▓▓▓▓▓▓▓▓
- ▓▓ ▓▓
- ▓▓ ┌──────────────────────┐ ▓▓
- ▓▓ │ Accounting Menu │▒ ▓▓
- ▓▓ ├──────────────────────┤▒ ▓▓
- ▓▓ │ Create Invoices │▒ ▓▓
- ▓▓ │ Review Invoices │▒ ▓▓
- ▓▓ │>> Enter Payments << │▒ ▓▓
- ▓▓ │ Apply Credits │▒ ▓▓
- ▓▓ │ Post Write-offs │▒ ▓▓
- ▓▓ │ │▒ ▓▓
- ▓▓ │ Press Esc to exit │▒ ▓▓
- ▓▓ └──────────────────────┘▒ ▓▓
- ▓▓ ▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒ ▓▓
- ▓▓ ▓▓
- ▓▓▓▓▓▓▓▓▓▓▓▓▓▓▓▓▓▓▓▓▓▓▓▓▓▓▓▓▓▓▓▓▓▓▓▓▓▓▓
-
-
- Business Accounting System Rev. 1.0 Page 52
-
- Once you have selected this option, you will be presented with a
- new screen from which you must first provide payment information.
- Within this first screen, you must first provide the amount of
- payment, a reference (i.e. check number), a payment date, and the
- reporting period you wish to post the payment to.
-
- When you enter a payment amount, bare in mind that the BA System
- will allow you to split the amount across multiple invoices. If
- the payment you are entering pertains to accounts receivable, the
- payment you enter must be greater than zero. Reversing payments
- to debit invoices, which will be discussed later, would entail
- entering a payment amount less than zero. If you wish to abort
- payment entry and exit, press [Esc] and you will be returned to
- the client screen.
-
- Once you have completed these entries, you will then be presented
- with a small menu of selections. Within this menu, you must
- select what you wish to do with the payment you have just
- entered.
-
- The first menu option allows you to apply payment towards any
- open debit invoices. The second option allows you to make
- reversing entries against any credit invoices which you may have
- utilized in applying as payment towards debit invoices (more on
- this later). The third option allows you to post the payment as
- unapplied credit or prepayment deposit. With this option, you are
- deferring payment to debit invoices until a later date. When you
- have created debit invoices at some future date, you will then
- use the Apply Credits option of the Accounting Menu and apply
- these unapplied credits to any debit invoices. To abort payment
- entry, press [Esc].
-
-
- 11/25/91 Interstellar Systems, Inc. Monday
- ─────────────────────────── Business Accounting System ─────────────────────────
- Enter Invoice Payments
-
- ┌─────────────────────────────────────────┐
- │ AIFS │▒
- │ ACME Insurance & Financial Services┌──────────────────────────────────┐
- │ Accounting │ Select Payment Application │▒
- │ ├──────────────────────────────────┤▒
- │ AR Balance ──────> 1026.30 │ 1. Open Debit Invoices only │▒
- │ Unapplied Credit > 0.00 │ 2. Reversing Entry for Credits │▒
- │ │ 3. Post as Unapplied Credit │▒
- │ Payment Amount ──> 1026.30 │ │▒
- │ Pay Reference ───> CK1234 │ Press Esc to abort │▒
- │ Payment Date ────> 11/25/91 └──────────────────────────────────┘▒
- │ Rept.Period ─────> 11 ▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒
- │ │▒
- └─────────────────────────────────────────┘▒
- ▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒
-
-
- Business Accounting System Rev. 1.0 Page 53
-
- APPLY PAYMENT TO OPEN DEBIT INVOICES
-
- Once you have selected this option, you will be presented with a
- new screen from which you will apply payment towards specific
- open debit invoices. The oldest invoices will be displayed first
- and you will then be asked to enter a payment amount for the
- first invoice on the screen. A default entry will be provided,
- but you may change this if you wish. If you do not wish to enter
- any payment for the invoice, then enter zero (0.00) for the apply
- amount. Note that the BA System will not allow you to enter a
- payment which exceeds the current invoice balance.
-
- Once you have entered a payment amount, you will then be
- presented with a horizontal menu on the bottom line of the
- screen from which you must provide an action.
-
- From the menu, you may press "P" to post the payment, "E" to edit
- the invoice payment line again, or "S" to skip forward to the
- next invoice without applying any payment. If you have yet to
- post any payment entries, you may also press [Esc] to abort all
- payment entry.
-
- You will continue to be prompted for payment entries until the
- "Remaining Balance to Apply", located in the upper portion of the
- screen, has been fully depleted, or until no more open invoices
- remain. If no more open invoices remain, but a "Remaining Balance
- to Apply" remains (.i.e. an overpayment), you will be asked if
- you wish to post the remaining amount as an unapplied credit. If
- this is a true overpayment and you wish to post the remaining
- amount, answer "Y" for yes, otherwise answer "N" for no.
-
- If you answer yes, a credit Receipt Invoice will be created for
- the client. You may apply the credit to a debit at some later
- point in the future with the "Apply Credits" option of the
- Accounting Menu. If you answer no, the remaining portion will be
- discarded from the payment update.
-
-
- ┌──────────────────────────────────────────────────────────────────────────────┐
- │ AIFS / ACME Insurance & Financial Services - Accounting │
- │ Pay Amount > $ 1026.30 Pay Reference > CK1234 Pay Date > 11/25/91 │
- │ │
- │ Remaining Balance to Apply ────> $ 160.00 Reporting Period > 11 │
- └──────────────────────────────────────────────────────────────────────────────┘
-
- ┌───────┬────────┬────────────────────┬────────────┬────────────┬────────────┐
- │Inv.No.│Inv.Date│Invoice Reference │ Inv.Total │ Balance Due│Apply Amount│
- ├───────┼────────┼────────────────────┼────────────┼────────────┼────────────┤
- │ 1 │11/27/91│W/O 101 │ 866.30 │ 0.00 │ 866.30 │
- │ 2 │11/28/91│W/O Onsite │ 160.00 │ 160.00 │ 160.00 │
- │ │ │ │ │ │ │
- │ │ │ │ │ │ │
- │ │ │ │ │ │ │
- │ │ │ │ │ │ │
- │ │ │ │ │ │ │
- │ │ │ │ │ │ │
- └───────┴────────┴────────────────────┴────────────┴────────────┴────────────┘
- Select action: Post Edit Skip ──> P
-
- Business Accounting System Rev. 1.0 Page 54
-
- Once you have completed entry, you will be returned to the
- previous screen for entering of payment information. If you have
- no more payments to enter and wish to exit, press [Esc] and you
- will be returned to the Accounting Menu of the client screen.
-
- POST PREPAYMENT DEPOSITS
-
- The BA System also allows you to post prepayment deposits for any
- client for those instances when you receive compensation prior to
- generating an invoice. Once you have provided the payment amount,
- payment reference, payment date, and reporting period, select
- option three, "Post Unapplied Credit" from the Payment Selection
- menu.
-
- Once you select this option, you will be asked if you wish to
- post this payment as an unapplied credit. Press "Y" for yes if
- you wish to. Press "N" for no if you wish to abort this
- selection. Once you select to post payment in this manner, a
- Receipt type of invoice will be created with a credit balance.
-
- The Receipt invoice represents another invoice type in addition
- to type "I" for debit invoice, and type "C" for credit memo. At
- some point in the future, when you create the client invoice(s),
- you may apply this receipt invoice as payment towards any open
- debit invoice via the "Apply Credits" option of the Accounting
- Menu.
-
- REVERSING ENTRIES FOR PAYMENTS
-
- Once you have posted payments to the BA System, you are not
- allowed to make corrections or modifications to the actual
- payment record. Instead, you must post what is known as a
- reversing entry. Such an entry, as the name implies, allows you
- to offset some previous payment transaction you have entered.
-
- To make a reversing entry to any debit invoice which is either
- still open or was created within the current year, enter the
- Payment Amount as a negative number when prompted for payment
- information. All debit invoices for the current year, open or
- closed will then be displayed. You will then be prompted to enter
- the Apply Amount for the first invoice displayed. Enter a zero
- (0.00) if you wish to skip to the invoice below it. Once you are
- positioned on the proper invoice, enter the Apply Amount again as
- a negative number. Whereas entering the amount as a positive
- number will decrease the invoice balance, in this instance
- entering it as a negative number will increase the invoice
- balance.
-
- At the horizontal menu prompt which will follow, press "P" to
- post the entry, "S" to skip to the next invoice without posting,
- or "E" to edit the line again.
-
- Once you have depleted the "Remaining Balance to Apply" or no
- additional debit invoices exist, you will automatically be
- exited, and again prompted to enter payment information. To exit
- at this point, press [Esc] and you will be returned to the
- Accounting Menu.
-
- Business Accounting System Rev. 1.0 Page 55
-
- REVERSING ENTRIES FOR APPLIED CREDITS
-
- A similar mechanism exists for posting reversing entries to
- credit invoices which have previously been applied as payment
- towards one or more debit invoices. Before reading further on
- this subject, you may wish to review the documentation section
- for applying credits.
-
- To make such a reversing entry, enter the payment amount as a
- positive number. From the Payment Selection menu, select option
- 2, Reversing Entry for Credits. Once you select this option, a
- warning message will then be displayed informing you that you
- should also post offsetting reversing entries against any debit
- invoices for which the credit was previously applied as payment.
- In essence, this is telling you that there are actually two sets
- of transactions involved with entries of this type. It's up to
- you to determine which debit invoices also need to be adjusted.
-
- Next all credit memo and receipt invoices will then be displayed
- one screen at a time. You are then asked to provide an amount to
- apply for the first invoice on the screen. To omit this line and
- skip to the invoice below, enter zero (0.00) as the Apply Amount.
- Once you are positioned on the proper credit/receipt invoice,
- enter the Apply Amount again as a positive amount. Entering an
- amount in this manner will increase the credit balance of the
- invoice.
-
- At the horizontal menu prompt which will follow, press "P" to
- post the entry, "S" to skip to the next invoice without posting,
- or "E" to edit the line again.
-
- Once payment has been fully applied, or no other credit/receipt
- invoices remain, you will automatically be exited from this
- routine and again prompted to enter payment information. To exit
- at this point, press [Esc] and you will be returned to the
- Accounting Menu.
-
-
-
- ┌───────────────────────────────────────────┐
- │ │▒
- │ Once again, when performing a reversing │▒
- │ entry to a credit/receipt invoice, you │▒
- │ should also perform a reversing entry │▒
- │ to any debit invoices to which this │▒
- │ credit was applied. │▒
- │ │▒
- │ │▒
- └───────────────────────────────────────────┘▒
- ▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒
-
-
- Business Accounting System Rev. 1.0 Page 56
-
- APPLY CREDITS
-
- Essentially, there are two types of credit invoices that can be
- created within the BA System. One is a Credit Memo invoice which
- can be created from the "Enter Invoices" option of the Accounting
- Menu. The other is a Receipt invoice which can be created as a
- result of overpayment, or posted as an unapplied credit (such as
- a prepayment deposit). You may utilize the credit balance of any
- of these credit/receipt invoices to apply as payment towards any
- open debit invoice. This is accomplished via the "Apply Credits"
- option of the Accounting Menu.
-
-
- ▓▓▓▓▓▓▓▓▓▓▓▓▓▓▓▓▓▓▓▓▓▓▓▓▓▓▓▓▓▓▓▓▓▓▓▓▓▓▓
- ▓▓ ▓▓
- ▓▓ ┌──────────────────────┐ ▓▓
- ▓▓ │ Accounting Menu │▒ ▓▓
- ▓▓ ├──────────────────────┤▒ ▓▓
- ▓▓ │ Create Invoices │▒ ▓▓
- ▓▓ │ Review Invoices │▒ ▓▓
- ▓▓ │ Enter Payments │▒ ▓▓
- ▓▓ │>> Apply Credits << │▒ ▓▓
- ▓▓ │ Post Write-offs │▒ ▓▓
- ▓▓ │ │▒ ▓▓
- ▓▓ │ Press Esc to exit │▒ ▓▓
- ▓▓ └──────────────────────┘▒ ▓▓
- ▓▓ ▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒ ▓▓
- ▓▓ ▓▓
- ▓▓▓▓▓▓▓▓▓▓▓▓▓▓▓▓▓▓▓▓▓▓▓▓▓▓▓▓▓▓▓▓▓▓▓▓▓▓▓
-
-
- Once you select this option, the BA System will then check for
- the existence of any credit/receipt invoices. If no such invoices
- are found, it will inform you of this, and abort your selection.
-
- If credits are found for this client, you will be presented with
- a new screen from which you should supply a reference, apply
- date, and reporting period.
-
-
- 11/12/91 Interstellar Systems, Inc. Tuesday
- ─────────────────────────── Business Accounting System ─────────────────────────
- Apply Credit Invoices
-
- ┌─────────────────────────────────────────┐
- │ BCSD │▒
- │ Better Cleaning Service of Durham │▒
- │ │▒
- │ │▒
- │ AR Balance ──────> 0.00 │▒
- │ Unapplied Credit > 1500.00 │▒
- │ │▒
- │ Apply Reference ─> INV 4 │▒
- │ Apply Date ──────> 11/25/91 │▒
- │ Rept.Period ─────> 11 │▒
- │ │▒
- └─────────────────────────────────────────┘▒
- ▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒
-
- Business Accounting System Rev. 1.0 Page 57
-
- Once you have completed entries for reference, apply date, and
- reporting period, you must then select an open credit/receipt
- invoice to apply payment from. A window of all such invoices will
- then be displayed.
-
-
- 11/25/91 Interstellar Systems, Inc. Monday
- ─────────────────────────── Business Accounting System ─────────────────────────
- Apply Credit Invoices
-
- ┌─────────────────────────────────────────┐
- │ BCSD ┌────────────────────────────────────┐
- │ Better Cleaning Service of Durham │ │▒
- │ │ <--| to select || to move │▒
- │ │ Esc to abort PgUp PgDn to jump │▒
- │ AR Balance ──────> 0.00 │ │▒
- │ Unapplied Credit > 1500.00 └────────────────────────────────────┘▒
- │ ▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒
- │ Apply Refere┌─────────────────────────────────────────────────────────────┐
- │ Apply Date ─│ Inv.No Inv.Date Type Reference Balance │▒
- │ Rept.Period ├─────────────────────────────────────────────────────────────┤▒
- │ │ 3 11/12/91 R CK145 -1500.00 │▒
- └─────────────└─────────────────────────────────────────────────────────────┘▒
- ▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒
-
-
- Within the window, utilize the cursor movement keys or the PageUp
- and PageDown keys to position the light-bar over the credit
- invoice you wish to select. If you wish to abort selection,
- simply press [Esc].
-
- Once you have selected a credit/receipt invoice, you will then be
- presented with a new screen which will display all open debit
- invoices for this client, starting with the oldest invoice. You
- are then asked to provide an amount to apply for the first
- invoice. If you wish omit entry and skip to the next invoice,
- enter the Apply Amount as zero (0.00). You of course may not
- apply any payment which exceeds the balance of the credit/receipt
- invoice you selected. If you wish to exit, press [Esc].
-
- Between each entry, you will be asked to provide an action. Enter
- "P" to post the entry, "S" to skip to the next invoice without
- posting, or "E" to edit the line again.
-
- Business Accounting System Rev. 1.0 Page 58
-
- Once you have exhausted the "Remaining Balance to Apply" , or no
- additional debits invoices remain, you will automatically be
- exited from this routine, and again prompted to enter apply
- information. If you have additional credits to apply, repeat the
- aforementioned steps in selecting a credit invoice, and apply the
- credit to debit invoices. When you have finished, press [Esc] and
- you will be returned to the Accounting Menu.
-
-
- ┌──────────────────────────────────────────────────────────────────────────────┐
- │ BCSD / Better Cleaning Service of Durham │
- │ Applying Credit No. > 3 Reference > INV 4 Apply Date > 11/25/91 │
- │ │
- │ Remaining Balance to Apply ────> $ 1500.00 Reporting Period > 11 │
- └──────────────────────────────────────────────────────────────────────────────┘
-
- ┌───────┬────────┬────────────────────┬────────────┬────────────┬────────────┐
- │Inv.No.│Inv.Date│Invoice Reference │ Inv.Total │ Balance Due│Apply Amount│
- ├───────┼────────┼────────────────────┼────────────┼────────────┼────────────┤
- │ 4 │11/25/91│W/O │ 1500.00 │ 1500.00 │ 1500.00 │
- │ │ │ │ │ │ │
- │ │ │ │ │ │ │
- │ │ │ │ │ │ │
- │ │ │ │ │ │ │
- │ │ │ │ │ │ │
- │ │ │ │ │ │ │
- │ │ │ │ │ │ │
- │ │ │ │ │ │ │
- │ │ │ │ │ │ │
- └───────┴────────┴────────────────────┴────────────┴────────────┴────────────┘
-
- Enter credit amount to apply towards Invoice or Esc to exit
-
-
- POST INVOICE WRITE-OFFS
-
- In the course of doing business, you may find it necessary from
- time to time to perform adjustments to invoice balances (debit or
- credit) which don't involve accounts receivable payments. Perhaps
- you need to write-off or adjust all or a portion of an invoice
- balance. A true write-off might pertain to a client debt which
- you do not anticipate collecting, while an adjustment might
- pertain to billing error on your part. Transactions such as these
- can be posted with the "Post Write-offs" option of the Accounting
- Menu.
-
- Such write-offs or adjustments are very similar to accounts
- receivable payments except they are flagged differently and may
- be reported separately from accounts receivable payments (or
- together if you wish).
-
- Business Accounting System Rev. 1.0 Page 59
-
-
- ▓▓▓▓▓▓▓▓▓▓▓▓▓▓▓▓▓▓▓▓▓▓▓▓▓▓▓▓▓▓▓▓▓▓▓▓▓▓▓
- ▓▓ ▓▓
- ▓▓ ┌──────────────────────┐ ▓▓
- ▓▓ │ Accounting Menu │▒ ▓▓
- ▓▓ ├──────────────────────┤▒ ▓▓
- ▓▓ │ Create Invoices │▒ ▓▓
- ▓▓ │ Review Invoices │▒ ▓▓
- ▓▓ │ Enter Payments │▒ ▓▓
- ▓▓ │ Apply Credits │▒ ▓▓
- ▓▓ │>> Post Write-offs <<│▒ ▓▓
- ▓▓ │ │▒ ▓▓
- ▓▓ │ Press Esc to exit │▒ ▓▓
- ▓▓ └──────────────────────┘▒ ▓▓
- ▓▓ ▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒ ▓▓
- ▓▓ ▓▓
- ▓▓▓▓▓▓▓▓▓▓▓▓▓▓▓▓▓▓▓▓▓▓▓▓▓▓▓▓▓▓▓▓▓▓▓▓▓▓▓
-
- As with applying credits, once you select this option, you will
- be presented with a new screen from which you should supply
- reference information, an adjustment date, and reporting period.
- You should utilize the reference field to differentiate the type
- of transaction you are posting by using some coding scheme that
- is meaningful to you. For bad debts, you might enter "BAD", or
- for a billing adjustment, you might enter "ADJ". Whatever you
- enter here is up to you. If you wish to abort, simply press [Esc]
- and you will be returned to the Accounting Menu.
-
- Once you have completed these entries, another selection menu
- will then appear. From the menu, you may select to perform a
- write-off adjustment to open debit invoices or open
- credit/receipt invoices, or you may select to enter reversing
- entries for each type of invoices. Reversing entries here are
- again quite similar in nature to reversing entries in accounts
- receivable payments, and allow you to make correcting entries to
- offset prior postings.
-
-
- 11/12/91 Interstellar Systems, Inc. Tuesday
- ─────────────────────────── Business Accounting System ─────────────────────────
- Post Invoice Write-off Adjustments
-
- ┌─────────────────────────────────────────┐
- │ TIC3 │▒
- │ Triangle Insurance Company │▒
- │ Underwriting │▒
- │ ┌──────────────────────────────────┐
- │ AR Balance ──────> 120.00 │ Select Adjustment Application │▒
- │ Unapplied Credit > 0.00 ├──────────────────────────────────┤▒
- │ │ 1. Open Debit Invoices only │▒
- │ Adj. Reference ──> BADDEBT │ 2. Open Credit Invoices only │▒
- │ Adj. Date ───────> 11/12/91 │ 3. Reversing Entry to Debits │▒
- │ Rept.Period ─────> 11 │ 4. Reversing Entry to Credits │▒
- │ │ │▒
- └────────────────────────────────────│ Press Esc to abort │▒
- ▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒└──────────────────────────────────┘▒
- ▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒
-
-
- Business Accounting System Rev. 1.0 Page 60
-
- Select choice "1" if you wish to select from open debit invoices,
- "2" if you wish to select from open credit invoices, "3" if you
- wish to perform a reversing entry to debit invoices, or "4" if
- you wish to perform a reversing entry to credit invoices. The
- first two selections will only allow you to update invoices with
- open balances while the latter two will allow you to select from
- all client invoices, open or closed. Press [Esc] if you wish to
- abort this selection.
-
- If no invoices are found which match your selection, you will be
- informed of this, and again prompted for reference, date, and
- reporting period. Press [Esc] at this prompt to exit.
-
- If invoices are located, you will then be presented with a new
- screen of those invoices with the oldest invoices displayed
- first. As with applying credits, you should then enter an
- adjustment amount for each applicable invoice. If you wish to
- skip over an invoice, enter an amount of zero (0.00). If you wish
- to exit this routine, press [Esc].
-
- Once you have made an entry, you will be prompted for an action.
- Press "P" to post the entry, "S" to skip to the next invoice
- without posting, or "E" to edit the line again. Once you select
- to post, the "Session Adjustment Total", in the upper portion of
- the screen will be updated to reflect your entry. If no
- additional invoices exist for the client, you will automatically
- be exited from this routine.
-
-
- ┌─────────────────────────────────────────────────────────────────────────────┐
- │ TIC3 / Triangle Insurance Company - Underwriting │
- │ Open Debit Invoices Reference > BADDEBT Adj. Date > 11/12/91 │
- │ │
- │ Session Adjustment Total ────> $ 0.00 Reporting Period > 11 │
- └─────────────────────────────────────────────────────────────────────────────┘
-
- ┌───────┬────────┬────────────────────┬────────────┬────────────┬────────────┐
- │Inv.No.│Inv.Date│Invoice Reference │ Inv.Total │ Balance Due│Apply Amount│
- ├───────┼────────┼────────────────────┼────────────┼────────────┼────────────┤
- │ 5 │11/12/91│W/O Onsite │ 120.00 │ 120.00 │ 120.00 │
- │ │ │ │ │ │ │
- │ │ │ │ │ │ │
- │ │ │ │ │ │ │
- │ │ │ │ │ │ │
- │ │ │ │ │ │ │
- │ │ │ │ │ │ │
- │ │ │ │ │ │ │
- └───────┴────────┴────────────────────┴────────────┴────────────┴────────────┘
-
-
- Business Accounting System Rev. 1.0 Page 61
-
- If you have a credit/receipt invoice you wish to adjust, select
- open credit invoices from the Adjustment Selection menu. As you
- are applying adjustment amounts to credit invoices, be sure to
- enter the amount as a negative number.
-
- As with payment entries, you may also enter reversing entries for
- the write-off adjustments. Again, select appropriately from the
- Adjustment Selection menu, either reversing entries for debit
- invoices, or reversing entries for credit invoices. When you
- select debit invoices, you must enter the adjustment amount as a
- negative number. Conversely, when you select reversing entries
- for credit invoices, you should enter the adjustment amount as a
- positive amount.
-
- All write-off adjustments you post can be printed on the Payments
- Register, located on the Reports submenu. When you select this
- report, you may specify a receipt type of "W" (for Write-off) if
- you only wish to print these type of transactions.
-
- Business Accounting System Rev. 1.0 Page 62
-
- BUSINESS EXPENSES
-
- The BA System also provides you with the ability to track and
- report business expense distributions. To utilize this mechanism,
- you should first define your expense categories in the form of a
- chart accounts for expenses. Consult your accountant if you are
- unsure as to what types of expense categories you need to track
- and report. For instance, you may need to track expenses in the
- form of cost of goods sold, certain capital purchases,
- professional journals, office supplies, rent, utilities, etc.. In
- short, you need to track anything you write a check for.
-
- For each expense category (or account), you will define a
- category code, which is a six character alphanumeric code, and a
- corresponding description. Once you have defined these
- categories, then you will post expense distributions to these
- categories on an ongoing basis, for any reporting period within
- the current year. At any time, you may generate a report register
- of these expense distributions subtotaled by expense category or
- reporting period. Your accountant will be able to utilize this
- report register in preparing your tax return.
-
- EXPENSE CATEGORY MAINTENANCE
-
- To create or modify expense categories, select option "3",
- Expense Categories, from the File Updates submenu of the Main
- Menu screen. Within this area, you will define and maintain each
- of your expense category codes and descriptions. Before selecting
- this option, you should define all your expense categories on
- paper and assign each one an alphanumeric code and description.
- This will facilitate the process of creating new categories.
-
- Upon selecting this option, the BA system will first check to see
- if any category codes are currently on file. If none have yet to
- be defined, you will be informed of this. The BA system will then
- ask if you wish to create additional expense categories. Press
- "Y" for yes to begin creating them, otherwise "N" for no.
-
- Once you select to begin creating expense categories, you will
- then be prompted to enter the category code you wish to create.
- This code is six characters wide and may contain alpha or
- numeric characters, or a mixture of the two. The codes you wish
- to use are completely up to you, however, you cannot assign the
- exact same code to two or more expense categories. If you don't
- wish to utilize a numbering scheme (1001, 1002, 1003, etc.), you
- may find it helpful to mimic the description you intend to
- utilize as closely as possible.
-
- Once you have provided a new category code, the system will then
- check to see that no other code like the one you entered has
- already been created. If one is found, you will be informed of
- this and again asked to provide a category code.
-
- Business Accounting System Rev. 1.0 Page 63
-
- Once a valid code has been entered, you must then provide a
- description for this expense category code. The description you
- enter should describe in more full detail what the expense
- category is for. For instance, let's say you wish to create a
- category for professional journals you have purchased or will
- purchase. You might enter something like PROJ for the category
- code, and "Professional Journals" as the description.
-
- Once you have completed your entry for this line, you will then
- be asked if you wish to save the entry. Press "Y" for yes to
- save, "E" to edit the line again, or "N" to abort this entry. If
- you answer no, you are then asked to provide a category code once
- again. Press [Esc] at any prompt for a category code if you wish
- to stop adding codes.
-
- Once you select to save the entry, the category information will
- be saved and you will again be asked to provide a category code
- for your next entry. Repeat this process for each category code
- you wish to create. When you have finished, press [Esc] when
- prompted for a category code.
-
- Once you have stopped adding codes, or you had preexisting codes
- defined, the codes will be displayed on the screen twelve at a
- time. They will appear in order of category code no matter what
- sequence you entered them in. You will then be provided with a
- horizontal type menu on the bottom line of the screen.
-
-
- 11/16/91 Interstellar Systems, Inc. Monday
- ─────────────────────────── Business Accounting System ─────────────────────────
- Update Expense Categories
-
- ┌────┬────────────┬──────────────────────────────────────┐
- │Seq.│ Categ Code │ Category Description │▒
- ├────┼────────────┼──────────────────────────────────────┤▒
- │ 1 │ MISA │ Miscellaneous Advances │▒
- │ 2 │ OFSU │ Office Supplies │▒
- │ 3 │ ORGF │ Organizational Fees │▒
- │ 4 │ PROJ │ Professional Journals │▒
- │ 5 │ PROS │ Professional Services │▒
- │ 6 │ PUR1 │ Purchases - Software │▒
- │ 7 │ PUR2 │ Purchases - Hardware │▒
- │ 8 │ PUR3 │ Purchases - Other │▒
- │ 9 │ RENT │ Office Rent │▒
- │ 10 │ REPM │ Repairs and Maintenance │▒
- │ 11 │ SHIP │ Shipping Charges │▒
- │ 12 │ SLWG │ Salaries and Wages Paid │▒
- └────┴────────────┴──────────────────────────────────────┘▒
- ▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒
-
- Select: Edit Delete Backward Forward Add Quit ──>
-
-
- Press "F" to skip forward to the next screen of expense
- categories, if any exists. This will not be an available option
- if no additional records exists beyond the current screen.
-
- Business Accounting System Rev. 1.0 Page 64
-
- Press "B" to skip backward to the previous screen of expense
- categories, if any exists. This will not be an available option
- if no records exist prior to the present screen.
-
- Press "E" to edit the description of any of the expense
- categories on the current screen. You will then be asked to enter
- the sequence number of the line you wish to edit. This sequence
- number is for screen reference purposes only and resides on the
- left-most column of the screen. Enter the sequence number of the
- line you wish to edit, or press [Esc] if you wish to abort the
- edit. Once you have entered a valid sequence number, you will
- then be allowed to edit the description area. Note, you are not
- allowed to change the category code.
-
- Press "D" to delete (or purge) one of the categories on the
- present screen. You will then be asked to provide the sequence
- number of the line you wish to delete. Please note that delete in
- this area means an actual purge. Press [Esc] if you wish to abort
- the deletion. Once you have entered a valid sequence number, the
- system will then check for any activity you may have entered for
- this expense category. You will not be allowed to delete any
- expense category which has activity posted to it within the
- current year. Once your entry has been validated, the line you
- selected will then be highlighted. You will then be asked if you
- are sure you wish to delete the entry. Press "Y" for yes if you
- wish to delete it, otherwise press "N" for no. Once you delete an
- entry, it will be purged, and the screen will be refreshed.
-
- Press "A" to add an additional expense category. As when you
- first began setting up the categories, you are asked to provide a
- category code. Once you have provided a valid code, you must then
- supply a description. Press [Esc] at any time if you wish to
- abort the addition. Once you have saved your entry, you are again
- prompted to enter a code. Repeat these steps for each additional
- category expense code you wish to create. When you have finished,
- press [Esc] when prompted for a category code.
-
- Press "Q" to quit and exit. Once you select to quit, you will be
- returned to the Main Menu screen.
-
- While you are distributing expenses, you may create an expense
- category from within the distribution area if the expense
- category you are trying to distribute to does not currently
- exist.
-
- CREATE EXPENSE DISTRIBUTIONS
-
- Once you have created the majority of your expense categories,
- you may then distribute expenses to these categories at any time
- you wish. To distribute expenses, select option "4", Expense
- Distributions from the File Updates submenu of the Main Menu
- screen.
-
- Once you have selected this option, you will then be asked if you
- wish to create expense distributions, or modify existing ones.
- Modification of expense distributions will be discussed in detail
- later. Press "C" to create expense distributions or [Esc] to
- abort.
-
- Business Accounting System Rev. 1.0 Page 65
-
- Once you have selected to create expense distributions, you will
- then be presented with a new screen. A windowed area will then be
- provided for you to enter expense header information. The BA
- system will automatically generate and assign a unique sequential
- transaction number for each expense transaction you post. The
- transaction number is mainly for reference purposes and also
- allows you to retrieve and modify a preexisting expense record.
-
- First within the header area, you must provide the amount of the
- expense. This is the total expense amount. You will be able to
- distribute this amount across any number of expense categories.
- Most of the time, the amount you enter should be greater than
- zero (0.00). The only instance in which you might wish to enter
- an amount less than zero is to offset some prior expense
- distribution you had posted in the past.
-
- Next you are asked to provide a reference to this expense record.
- Normally, you will want to enter the payee name in the reference,
- but you are free to enter whatever you wish.
-
- Next enter the date of the expense transaction and the reporting
- period for the transaction. Both will default to the current
- system date, but you may change them if you wish.
-
- Last within the header area, you should indicate the check or
- voucher number you used to pay this expense. This area will only
- accept numeric characters and will not accept alpha characters.
- If a check number was not involved, then you may leave this entry
- blank, or enter some other number which may be meaningful to you
- such as all nines (9999).
-
- Once you have completed the header area, a session balance will
- be displayed on the middle to right portion of the screen. This
- represents the total remaining balance from the original expense
- amount that you are going to distribute to your expense
- categories. You will not be allowed to post and save your entries
- unless and until this session balance amount is a zero (0.00).
-
- A new expense detail work area will also be displayed directly
- under the header window area. Within this area, you will begin
- distributing the expense among the expense categories you should
- have already created. Once again, if you try to distribute to an
- expense category that does not currently exists, you will be
- allowed to create that category while in the distribution area.
-
- You may distribute to as many or as few expense categories as you
- wish, but you must distribute to at least one category. As stated
- before, you will not be allowed to post and save your entries
- until the session balance is a zero (0.00).
-
- The process of distributing to the different expense categories
- is similar in nature to creating invoice line items. You are
- first prompted to provide an expense category code to distribute
- to. Once you enter a code, the BA system will then check for its
- existence on file. Note also the availability of the F10 "hot
- key" which you may utilize to perform a look-up of existing
- expense categories.
-
- Business Accounting System Rev. 1.0 Page 66
-
- If unable to locate the category code you entered, it will inform
- you of this. You may, if you wish, add the expense category code
- at this point by pressing the F2 key. If you wish to add the code
- to the expense category file, then press F2. You will then be
- asked to provide a description for this category code. Once you
- have entered a description, you will be asked if you wish to save
- this entry. Answer yes or no appropriately. For the most part,
- you should never have to complete entries in this manner as most
- all of your expense categories should have already been created.
-
- Once a valid expense category code has been entered, its
- corresponding description will then be retrieved and displayed
- adjacent to the code. Next you asked to provide a Distribution
- Amount for this expense category code. A default amount equaling
- the current session balance will be provided, although you may
- change this amount. Press [Esc] if you wish to abort entry for
- this category code.
-
- Once you have entered an amount, you will be asked if your entry
- is correct. Press "Y" for yes if correct, "E" to edit the line
- again, or "N" for no if you wish to abort this entry. Once you
- have indicated it as correct, the session balance amount will be
- updated from the distribution amount you entered. All
- distributions you enter are held in temporary files, and are not
- updated to the live system files until you indicate you wish to
- do so.
-
-
- 11/16/91 Interstellar Systems, Inc. Monday
- ─────────────────────────── Business Accounting System ─────────────────────────
- Create Expense Distributions
-
- ┌─────────────────────────────────────────────────┐
- │ Trans No. ────> 1 │▒
- │ │▒ ┌────────────────────────┐
- │ Exp. Amount ──> 350.00 │▒ │ │
- │ Expense Ref. ─> Visa - First Nat'l Bank │▒ │ Balance > $ 0.00 │
- │ Rept.Period ──> 11 │▒ │ │
- │ Trans Date ───> 11/16/91 Check No. ──> 123 │▒ └────────────────────────┘
- │ ┌────┬────────┬──────────────────────────────────────┬────────────┐
- │ │Seq.│ Categ. │ Category Description │Dist.Amount │▒
- │ ├────┼────────┼──────────────────────────────────────┼────────────┤▒
- │ │ 1 │ CGS1 │ Cost of Goods Sold - Software │ 175.00 │▒
- └──────│ 2 │ PUR1 │ Purchases - Software │ 100.00 │▒
- ▒▒▒▒▒│ 3 │ SHIP │ Shipping Charges │ 15.00 │▒
- │ 4 │ PROJ │ Professional Journals │ 45.00 │▒
- │ 5 │ OFSU │ Office Supplies │ 15.00 │▒
- └────┴────────┴──────────────────────────────────────┴────────────┘▒
- ▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒
-
- Select: Edit Delete Add Post Cancel ──>
-
- Business Accounting System Rev. 1.0 Page 67
-
- Once you have completed your line entry, you will again be
- prompted for a category code to distribute to. If you wish to
- distribute to additional expense categories, repeat the
- aforementioned steps until you have distributed the expense
- amount fully. You will know you have distributed fully when the
- session balance amount is a zero (0.00). Press [Esc] at the
- prompt for a category code when you are finished.
-
- You will then be presented with a horizontal menu on the bottom
- line of the screen. From the menu, you may select one of several
- actions.
-
- Press "F" to skip forward to the next screen of distribution
- lines, if any exits for this transaction. This will not be an
- available option if no distribution lines exist past the present
- screen.
-
- Press "B" to skip backward to the previous screen of distribution
- lines, if any exists for this transaction. This will not be an
- available option if no distribution lines exist prior to the
- current screen.
-
- Press "E" to edit any one of the distribution line amounts on the
- current screen. Once you select to edit, you are then asked to
- provide a sequence number of the line you wish to edit. The
- sequence number is for screen reference only and is the left-most
- column displayed. Press [Esc] if you wish to abort the edit. Once
- you have provided a valid sequence number to edit, you will then
- be allowed to modify the distribution amount of the line you
- selected. Note that any changes you make to the distribution
- amount will have a direct effect on the session balance amount.
- Once you have completed your entry, you will be asked if you wish
- to save your change. Answer yes or no appropriately.
-
- Press "D" to delete any one of the distribution lines on the
- current screen. Once you select to delete, you are then asked to
- indicate the sequence number of the line you wish to delete.
- Enter that sequence number or press [Esc] to abort. Once you have
- provided a valid sequence number, the line you selected will then
- be highlighted. You will then be asked if you are sure you wish
- to delete that line. If you are sure you wish to delete (purge)
- that line, answer "Y" for yes, otherwise answer "N" for no. Once
- deleted the session balance amount will be updated, and the
- screen will be refreshed.
-
- Press "A" to add additional distribution lines. The process here
- is identical to that in which you were originally creating
- distribution lines. You must provide a category code for each
- line. Once a valid code has been entered, its corresponding
- description will be retrieved and displayed. You then must
- provide a distribution amount. Once you have saved your entry,
- the session balance amount will be updated. Press [Esc] at the
- prompt for a category code when you are finished adding.
-
- Business Accounting System Rev. 1.0 Page 68
-
- Press "C" to cancel all entries you have entered for this expense
- transaction. This is a total transaction abort. Once you select
- this option, you will be asked if you are sure you wish to cancel
- this transaction. Answer yes or no appropriately here. If you
- answer yes, all expense distributions for this transaction will
- be discarded and you will re-enter the header area. Press [Esc]
- if you wish to exit at this point.
-
- Once the session balance amount is a zero (0.00), you may press
- "P" to post the distributions and header information to the live
- system files. This is not an available option unless the session
- balance amount is a zero (0.00).
-
- Once the transaction has been posted, you will be returned to the
- header area so that you may begin another expense transaction. If
- you have another transaction to post, repeat the aforementioned
- steps. If you are finished, press [Esc] and you will be returned
- to the Main Menu screen.
-
- All expense transactions you have entered can be displayed or
- printed via the Expense Register option located on the Reports
- submenu.
-
- REVIEW EXPENSE DISTRIBUTIONS
-
- A mechanism also exists to allow you to review, and if necessary,
- modify any expense distributions you have posted within the
- current year. To review existing expense distributions, select
- the Distribute Expenses option from the File Updates submenu of
- the Main Menu screen.
-
- Once you have selected this option, you will be asked if you wish
- to create or review expense distributions. Press "R" to review
- distributions. Next you will be asked if you wish to retrieve an
- expense posting by transaction number or by reporting period. As
- stated previously, the transaction number is a unique sequential
- number, system generated and assigned to each expense posting.
- These numbers are also disclosed on the Expense Register
- available from the reports menu.
-
- Press "N" to retrieve a posting by transaction number, or "R" to
- retrieve by reporting period. Press [Esc] if you wish to abort
- your selection.
-
- After your selection, you will then be presented with a new
- screen, and asked to provide a transaction number or a reporting
- period, or you may press [Esc] to exit and return to the Main
- Menu screen. Once you have made an entry, the BA system will
- then try to locate your entry. If unable to find such an entry,
- it will inform you of this and again prompt you to enter a number
- or a reporting period.
-
- If a matching entry was found, you will then be presented with a
- window of expense transactions. If you chose to retrieve by
- number, the transactions will appear in order by transaction
- number. If you chose to retrieve by reporting period, the
- transactions will appear in order of reporting period.
-
- Business Accounting System Rev. 1.0 Page 69
-
-
- 11/18/91 Interstellar Systems, Inc. Wednesday
- ─────────────────────────── Business Accounting System ─────────────────────────
- Review Expense Distributions
-
- Enter Transaction Number to retrieve or Esc to exit ──> 1
-
- ┌─────────────────────────────────────────────────────────────────────────────┐
- │ Trn.No. Trn.Date Per Stat ChkNo. Expense Reference Exp.Amount │▒
- ├─────────────────────────────────────────────────────────────────────────────┤▒
- │ 1 11/16/91 C11 123 Visa - First Nat'l Bank 350.00 │▒
- │ 2 11/17/91 C11 124 Richard Duke - Dec. 91 Rent 155.00 │▒
- │ 3 11/17/91 C11 125 NC Dept Revenue - Sales Tax 53.70 │▒
- │ 4 11/17/91 C11 0 Central Carolina Bank - DM 3.50 │▒
- │ 5 11/17/91 C11 126 R.Duke - Empl Expense Reimb. 110.00 │▒
- │ │▒
- │ │▒
- │ │▒
- │ │▒
- │ │▒
- │ │▒
- │ │▒
- └─────────────────────────────────────────────────────────────────────────────┘▒
- ▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒
-
-
- From within the window, utilize the cursor movement keys or the
- PageUp and PageDown keys to position the light-bar over the
- expense transaction you wish to retrieve. Press [Enter] to then
- retrieve the transaction or press [Esc] to abort.
-
- Once you have selected a transaction, its corresponding screen
- will be retrieved. Both the expense header and the detail
- distribution lines will be displayed. A horizontal type menu will
- also be displayed on the bottom line of the screen from which you
- can enter an action.
-
- Press "V" if you wish to void the expense transaction. When you
- select this, you will be asked if you are sure you wish to void
- the transaction. Answer yes or no appropriately. Once voided, the
- text "Voided" will appear in a boxed area on the screen. You will
- then be told to "Press any key to exit" .
-
- Press "E" to edit either the expense header portion, or the
- distribution detail. Once you select to edit, you will then be
- asked if you wish to edit the header or the detail. Press "H" for
- header or "D" to detail.
-
-
- Business Accounting System Rev. 1.0 Page 70
-
- 11/18/91 Interstellar Systems, Inc. Wednesday
- ─────────────────────────── Business Accounting System ─────────────────────────
- Review Expense Distributions
-
- ┌─────────────────────────────────────────────────┐
- │ Trans No. ────> 1 │▒
- │ │▒
- │ Exp. Amount ──> 350.00 │▒
- │ Expense Ref. ─> Visa - First Nat'l Bank │▒
- │ Rept.Period ──> 11 │▒
- │ Trans Date ───> 11/16/91 Check No. ──> 123 │▒
- │ ┌────┬────────┬──────────────────────────────────────┬────────────┐
- │ │Seq.│ Categ. │ Category Description │Dist.Amount │▒
- │ ├────┼────────┼──────────────────────────────────────┼────────────┤▒
- │ │ 1 │ CGS1 │ Cost of Goods Sold - Software │ 175.00 │▒
- └──────│ 2 │ PUR1 │ Purchases - Software │ 100.00 │▒
- ▒▒▒▒▒│ 3 │ SHIP │ Shipping Charges │ 15.00 │▒
- │ 4 │ PROJ │ Professional Journals │ 45.00 │▒
- │ 5 │ OFSU │ Office Supplies │ 15.00 │▒
- └────┴────────┴──────────────────────────────────────┴────────────┘▒
- ▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒
-
- Select: Edit Void Quit ──>
-
-
- If you select to edit the header portion, you will then be
- allowed to modify every field within the header except the
- expense amount. Once you have made your changes, you will be
- asked if you wish to save any changes you may have made. Answer
- yes or no appropriately.
-
- If you select to edit the detail distribution, you will be
- presented with another horizontal menu on the bottom line of the
- screen. Please note that editing of the distribution detail takes
- place within temporary files. Any changes you make to the detail
- will not be updated to the live system files until you select the
- post option of the menu. Likewise, the post option will not be
- available unless the session balance, located to the right of the
- header area, is zero (0.00).
-
- Please note that, prior to adding or editing, the session balance
- should always a zero (0.00). Once you make an addition or edit,
- the session balance will be updated to reflect your entry. In
- other words, if you add additional detail lines, you will in all
- probability have to either edit or delete some other lines,
- otherwise the session balance will never be zero (0.00).
-
- Press "F" to skip forward to the next screen of distribution
- lines, if any exists. This will not be an available option if no
- additional detail exists beyond the present screen.
-
- Press "B" to skip backward to the previous screen of distribution
- detail, if any exists. This will not be an available option if no
- detail exists prior to the present screen.
-
- Business Accounting System Rev. 1.0 Page 71
-
- Press "A" if you wish to add an additional distribution line.
- When you select to add, you are then asked to provide an expense
- category code. Enter that category code or press F10 to perform a
- "hot key" look-up of codes. Once you have made a valid entry, the
- code's corresponding description will be retrieved. You must then
- provide a distribution amount. Once you have completed this
- entry, you will be asked if you wish to save this line to the
- temporary file. Answer yes or no appropriately. Once you answer
- yes, the temporary file will be updated. Repeat these steps for
- each additional line you wish to add.
-
- Press "E" to edit the distribution amount for any detail line
- displayed on the current screen. Upon selecting this option, you
- will then be asked to provide the sequence number of the line you
- wish to edit. The sequence number is the left-most column on the
- detail screen area and is solely for screen reference. Once you
- have entered a valid sequence number, you may then edit the
- distribution amount. Once you have completed your entry, you will
- be asked if you wish to save your changes to the temporary file.
- Answer yes or no appropriately. If you answer yes, the change
- will be written to the temporary file and the session balance
- amount will be updated to reflect your change.
-
- Press "D" to delete any distribution line displayed on the
- current screen. You will then be asked to provide the sequence
- number of the line you wish to delete. Once you have indicated a
- valid sequence number, the line you selected will be high-lighted
- and you will be asked if you are sure you wish to delete this
- line. Answer yes or no appropriately. If you delete the line, the
- screen will be refreshed and the session balance amount will be
- updated to reflect your deletion.
-
- Press "C" to cancel any and all updates you may have performed to
- the detail lines, whether additions or modifications. Canceling
- will discard all modifications you may have made. If you were
- only viewing the detail, you should select the cancel option to
- exit.
-
- Press "P" to post any and all changes you may have made to the
- live system files. This will not be available option unless the
- session balance amount is a zero (0.00). Once you select to post,
- your updates will be transferred to the live system files.
-
- When you have completed you review of the expense record, press
- "Q" to quit and return to the Main Menu screen.
-
-
- ASSESS CLIENT FINANCE CHARGES
-
- A mechanism exists within the BA system allowing you to generate
- and assess finance charges to select clients with a past due
- accounts receivable balance. Only those clients with a "Y" in the
- Finance Charge Status (located on the client screen) will be
- assessed late charges for past due balances. Any client with an
- "N" as the Finance Charge Status will be omitted.
-
- Business Accounting System Rev. 1.0 Page 72
-
- When you assess finance charges, you should do so monthly, after
- you process all accounts receivable payments, but before you
- generate client accounts receivable statements. Note, you are not
- required to utilize either the finance charge area or the client
- statements area if you do not wish to. If you do wish to generate
- finance charges on an ongoing basis, you will probably want to
- generate client statements as well.
-
-
- ┌────────────────────────────────────────────┐
- │ │▒
- │ Note: It is strongly recommended that you │▒
- │ create a system backup prior to generating │▒
- │ finance charges, particularly the files │▒
- │ with the .DBF and .DBT file extensions. │▒
- │ Since this routine is potentially a global │▒
- │ update, most all the BA System files will │▒
- │ be affected by it. │▒
- │ │▒
- │ A System Backup may come in quite handy │▒
- │ should (for whatever reason) you need to │▒
- │ restore the files as they were prior to │▒
- │ running this option. │▒
- │ │▒
- └────────────────────────────────────────────┘▒
- ▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒
-
- To begin assessing finance charges, select the Finance Charges
- option from the File Updates submenu of the Main Menu screen.
- Once you select this option, you will be presented with an option
- grid in which you must specify certain parameters needed for the
- routine.
-
- First within the grid, you must specify the cut-off invoice due
- date for inclusion. It will default to the last day of the month
- as indicated by the present setting of the System Date. Only past
- due invoices with a due date on or before this date will be
- included in the late charges calculation.
-
- Next, you may specify a minimum number of past due days for
- invoices to be included. This actually serves to permit an
- additional grace period for clients with past due invoices. For
- example, if you were to enter the number three (3), then any
- invoice past due less than three days from the cut-off date would
- be omitted. Enter a zero (0) if you wish to omit this feature.
-
-
- Business Accounting System Rev. 1.0 Page 73
-
- 11/29/91 Interstellar Systems, Inc. Friday
- ─────────────────────────── Business Accounting System ─────────────────────────
- Assess Client Finance Charges
-
- * Option Grid: Finance Charges
- ┌─────────────────────────────────────────────┬─────────────────────┐
- │ Invoice Due Date cut-off for inclusion │ 11/30/91 │▒
- ├─────────────────────────────────────────────┼─────────────────────┤▒
- │ Minimum number days past due for inclusion │ 0 │▒
- ├─────────────────────────────────────────────┼─────────────────────┤▒
- │ Minimum finance charge amount to assess │ $ 0.00 │▒
- ├─────────────────────────────────────────────┼─────────────────────┤▒
- │ Net Due Days for F/C invoices created │ 30 │▒
- ├─────────────────────────────────────────────┼─────────────────────┤▒
- │ Periodic finance charge percentage rate │ 1.500 % │▒
- ├─────────────────────────────────────────────┼─────────────────────┤▒
- │ Include existing finance charges │ Y Y or N │▒
- ├─────────────────────────────────────────────┼─────────────────────┤▒
- │ Client ID (whole, partial, or blank) │ │▒
- └─────────────────────────────────────────────┴─────────────────────┘▒
- ▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒
-
-
- Next, you may specify a minimum finance charge amount to assess.
- If you enter an amount here, and a finance charge for a
- particular client is calculated as being less than this amount,
- then the client will be assessed the minimum amount you
- specified. Please note the amount you specify (if any), may be
- subject to local regulations.
-
- Next you should indicate the number of Net Due Days to utilize on
- any finance charge invoice generated. This net due days will be
- utilized along with the invoice date assigned to calculate a due
- date for the finance charge invoice generated.
-
- Next you must indicate the periodic finance charge percentage to
- utilize in calculating finance charges. For most states in the
- U.S., this is a monthly rate of 1.5 % (18% annually). Note, this
- is an a percentage rate and not a decimal rate.
-
- Next you may indicate if you wish to include existing finance
- charges in the past due calculation. Enter "Y" for yes or "N" for
- no.
-
- Lastly, you may indicate a whole or partial client id number to
- include in the calculation, or leave this entry blank if you wish
- to omit this feature.
-
- Once you have completed grid entry, you will be asked if the grid
- information is correct. Press "N" for no and you will be allowed
- to edit the grid again. Press "Q" to quit if you wish to abort
- this operation. If you wish to continue, press "Y" for yes.
-
- Once you have begun the calculation, do not interrupt it. Its
- length of duration is solely dependent upon the volume of your
- data, but will probably take only several minutes. Once
- completed, the system will inform you as to the number of clients
- which had finance charges generated, and the total amount of
- charges generated.
-
- Business Accounting System Rev. 1.0 Page 74
-
- Please note that all invoices generated from this mechanism will
- be designated with an invoice type "F" for finance charge. Other
- types previously discussed are type "I" for invoice, type "C" for
- Credit Memo, and type "R" for credit receipt.
-
- You may obtain a listing of invoices generated by printing an
- invoice register and specifying type "F", and an invoice date
- range corresponding to the date you generated the charges.
-
- PRINT CLIENT STATEMENTS
-
- You may select to generate client accounts receivable statements
- in batch fashion if you wish. Printing statements is not a
- requirement however. If you wish to utilize this feature, select
- the Client Statements option from the Printing submenu of the
- Main Menu screen. You should not generate client statements until
- you have posted all payment receipts and have generated finance
- charges. As mentioned previously, generating finance charges is
- not a requirement with the BA system.
-
- Statements printed for a single client may be generated from the
- Print option available from within each client screen. The
- Statements option from the Printing submenu allows you to
- generate statements for all clients with an open accounts
- receivable balance.
-
- The BA system accounts receivable statements have been specially
- designed to print on preprinted statements available different
- suppliers. A Rapidforms (Tel. 800-257-8354) format is available
- as the stock unit number 7Y2919. A more expensive Harland
- Printing (Tel. 800-443-5521) format is available as the stock
- unit number S-CS23. Check with your local printer also as they
- may already have these forms in stock at an even lower price. The
- current format of BA system statements is often referred to as an
- invoice balance format. With this format only open invoices are
- listed, each with it's corresponding date, invoice number,
- reference, total, and balance due. It also includes a perforated
- right portion on which the client is instructed to tear off and
- return it with their remittance.
-
- Once you select this option, you will be presented with an option
- grid from which you must supply parameters needed for the
- statement run.
-
- First within the grid, you must specify the scope of clients you
- wish to print. Enter "A" for active clients only, "I" for
- inactive clients only, or "B" for both. The active/inactive
- status may be updated from within each client screen.
-
- Business Accounting System Rev. 1.0 Page 75
-
- 11/29/91 Interstellar Systems, Inc. Friday
- ─────────────────────────── Business Accounting System ─────────────────────────
- Print Client Statements
-
- * Option Grid: AR Statements
- ┌─────────────────────────────────────────────┬─────────────────────┐
- │ Client status: Active/Inactive/Both │ A A/I/B │▒
- ├─────────────────────────────────────────────┼─────────────────────┤▒
- │ Age from: Invoice date or Due date │ I I or D │▒
- ├─────────────────────────────────────────────┼─────────────────────┤▒
- │ Age Credits within Current window │ Y Y or N │▒
- ├─────────────────────────────────────────────┼─────────────────────┤▒
- │ Number days: 1st aging window │ 10 │▒
- ├─────────────────────────────────────────────┼─────────────────────┤▒
- │ Number days: 2nd aging window │ 20 │▒
- ├─────────────────────────────────────────────┼─────────────────────┤▒
- │ Number days: 3rd aging window │ 30 │▒
- ├─────────────────────────────────────────────┼─────────────────────┤▒
- │ Number days: 4th aging window │ 45 │▒
- └─────────────────────────────────────────────┴─────────────────────┘▒
- ▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒
-
-
- Next you must indicate the method you wish to utilize in aging
- the invoices. You may select to age invoices from either the
- invoice date, or age the invoices from the due date. Either
- method is an accepted accounting practice. Enter "I" for invoice
- date or "D" for due date.
-
- Next you are asked if you wish to age any credits which may exist
- within the current aging window. Answer "Y" for yes or "N" for
- no if you wish credits to be aged in the same manner as debit
- balances. Once again, either method is an accepted accounting
- practice.
-
- From the next four grid lines, you will define the aging windows
- to be utilized by the statement. Enter the number of days for
- each of the respective windows. The Current window will be
- defined as the number of days up to the first window you specify
- as default. Utilize any combination you wish such as 10, 20, 30,
- 45 or 30, 60, 90, 120.
-
- Any parameters you enter in the grid are saved into the BA system
- for future retrieval. This way you don't have to change the grid
- parameters each time you utilize the grid. Individual printing of
- statements and the Open Receivables Aging Analysis both utilize
- these identical grid parameters.
-
- Once grid entry has been completed, you will be asked if you wish
- to print an alignment test. Such a test allows you to line up the
- printed data with the preprinted format. Answer yes or no
- appropriately. Note also that the printing of your company name
- and address block can be suppressed from printing, and is done so
- from the Installation screen which has already been described.
- Once statement printing has been completed, you will be returned
- to the Printing submenu of the Main Menu screen.
-
- Business Accounting System Rev. 1.0 Page 76
-
- PERIOD CLOSING
-
- As mentioned previously, the BA System supports up to twelve (12)
- reporting periods for billings, payments, and expenses. Standard
- accounting practice is to utilize a monthly or quarterly
- convention for closing and opening a new reporting period.
-
- Once you have generated finance charges and printed client
- statements (both of these are optional of course), you should
- then print report registers of invoices, payments, and expenses,
- and an open receivables listing. You should then be ready to
- perform a period closing on or about the last day of the current
- accounting period. When you are closing the last period of your
- fiscal year (usually a calendar year), you should select to close
- the year instead of the period.
-
- The period closing performs several functions. First and
- foremost, it increments the system period. The current system
- period is always displayed in the upper left corner of the Main
- Menu screen. It also removes any invoices and expense
- transactions marked as voided from the files. If available
- disk space is becoming tight, it allows you to selectively purge
- your history files (last year's information) from the system.
-
- If you are closing the year, a different update takes place. In
- this instance, the history files will be purged in entirety. All
- data in the current year files when then be appended (added) to
- the history files, and then the current year files will be purged
- in preparation for a new year.
-
-
- ┌────────────────────────────────────────────────┐
- │ IMPORTANT: │▒
- │ │▒
- │ Never ever perform a period or yearly closing │▒
- │ without first creating a backup of the BA │▒
- │ System files, particularly the files with the │▒
- │ extensions .DBF and .DBT. These are the data │▒
- │ files and they cannot be recreated by anyone │▒
- │ or anything except you and a handy backup. │▒
- │ │▒
- │ You should archive each backup set you create │▒
- │ prior to the period or year-end closing and │▒
- │ label it as such. Archiving implies that you │▒
- │ never intend to reuse the backup set again │▒
- │ except for restoration purposes. │▒
- │ │▒
- │ Consult your DOS manual for more information │▒
- │ on the BACKUP and RESTORE commands, or if you │▒
- │ are utilizing some other type of backup system │▒
- │ such as tape cartridge, consult its software │▒
- │ documentation. │▒
- │ │▒
- └────────────────────────────────────────────────┘▒
- ▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒
-
- Business Accounting System Rev. 1.0 Page 77
-
- To perform a period or yearly closing, select the Period Closing
- option from the File Updates submenu of the main menu screen. You
- will then be asked if you wish to close the period or the year.
- If you are presently in the last accounting period of your fiscal
- year, you should close the year, otherwise you should close the
- period. Press "P" for period or "Y" for year. Press [Esc] if you
- wish to abort the closing.
-
- If you select a period closing, you will then be asked if you
- wish to selectively purge any historical transaction history. You
- should not purge any history unless limited available disk space
- makes this imperative. Press "Y" for yes or "N" for no. If you
- answer yes, you are then prompted to provide a cut-off date for
- purging of historical billing and expense transactions. Any
- closed invoices and corresponding payments, and expense
- transactions contained in history, dated on or before the cut-off
- date you specify, will be purged from the BA system files.
-
- If you indicated you are closing the year in addition to the
- current period, you will receive warning message explaining that
- the historical files will be purged automatically, and the
- current year information will be passed to the historical files,
- and then the current year files purged.
-
- You will then receive one last prompt asking if you wish to
- continue with the period or year-end closing. Answer yes or no
- appropriately. The length of duration of the closing is solely
- dependent upon the volume of data in the files but will probably
- take in the area of few minutes to a half hour.
-
-
- BATCH PRINT CLIENT INVOICES
-
- Once you have created a client invoice from the Accounting Menu
- within each client screen, you may print the invoice immediately,
- or you may defer printing to a batch mode. When batch printing
- invoices, you have the ability to print all new invoices only,
- revised invoices only, or all invoices on file. You may also
- further curtail batch printing by specifying the invoice type,
- and an invoice date range.
-
- Please note also that you may select to customize certain
- features of the printed invoice. For more information on invoice
- printing customization, refer to the previous discussion of the
- System Installation screen. The installation screen can be
- accessed from the Utilities submenu of the Main Menu screen.
-
- To batch print invoices, select the Client Invoices option from
- the Printing submenu of the Main Menu screen. Upon selecting this
- option, you will be presented with an option grid. From within
- the grid, you may specify certain parameters needed for batch
- printing of invoices.
-
- Business Accounting System Rev. 1.0 Page 78
-
- First within the grid, you need to specify the scope for invoice
- printing. You may press "N" for new invoices only. These are
- invoices which have been created but have yet to be printed. You
- may press "R" for revised invoices only. These are invoices which
- have been printed at least once, and modified in some way since
- printing. Press "B" for both if you wish to print both new and
- revised invoices. Lastly, you may press "A" if you wish to print
- all invoices on file for the current year.
-
-
- 11/29/91 Interstellar Systems, Inc. Friday
- ─────────────────────────── Business Accounting System ─────────────────────────
- Invoice Print
-
- * Option Grid: Batch Print Client Invoices
- ┌─────────────────────────────────────────────┬─────────────────────┐
- │ Print Scope: New/Revised/Both/All │ N N/R/B/A │▒
- ├─────────────────────────────────────────────┼─────────────────────┤▒
- │ Invoice Type: Invoices/Credits/All │ A I/C/A │▒
- ├─────────────────────────────────────────────┼─────────────────────┤▒
- │ Posting Level: Detailed/Manual/All │ D D/M/A │▒
- ├─────────────────────────────────────────────┼─────────────────────┤▒
- │ Number Copies each document │ 1 │▒
- ├─────────────────────────────────────────────┼─────────────────────┤▒
- │ Begin Invoice Date (blank to omit) │ / / │▒
- ├─────────────────────────────────────────────┼─────────────────────┤▒
- │ End Invoice Date (blank to omit) │ / / │▒
- ├─────────────────────────────────────────────┼─────────────────────┤▒
- │ Client ID Number (whole, partial, or blank) │ │▒
- └─────────────────────────────────────────────┴─────────────────────┘▒
- ▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒
-
-
- Next, you may specify the Types of invoices to print. To select
- all debit type of invoices, press "I". For all credit type of
- invoices, press "C". Press "A" for all to print debit and credit
- invoices.
-
- Next you indicate the posting level to print. Enter "D" for
- detail level invoices only, "M" for manual invoices only (manual
- also includes finance charge and receipt invoices), or "A" for
- all.
-
- Next indicate the number of copies to print of each invoice. The
- default entry is one (1), but you may change this if you wish.
-
- You may then specify an invoice date range to print. You may
- provide a begin date only, an end date only, both dates, or leave
- these entries blank to omit this feature. Note, if you wish
- invoices for only one given date, enter the same date for both
- the begin and end entries.
-
- Lastly, you may specify a whole or a portion of a client id
- number to print. Leave this entry blank if you wish to omit this
- entry.
-
- Business Accounting System Rev. 1.0 Page 79
-
- Once you have completed grid entry, you will be asked if the grid
- information is correct. Press "N" for no and you will be allowed
- to edit the grid information again. Press "Q" to quit and exit.
- To continue with printing, press "Y" for yes.
-
- Once you have selected to continue, you will be asked if you wish
- to print an alignment test. This is useful if you are using
- preprinted forms. If you are using plain paper for printing,
- answer no to this prompt.
-
- Once printing has been completed, you will be returned to the
- Main Menu screen. Remember, you may also reprint invoices
- individually from the Review Invoices option of the Accounting
- Menu available from within each client screen, or you may print
- the invoices immediately after creating each one.
-
- PRINT CLIENT MAILING LABELS
-
- The BA system also gives you the ability to print mailing labels
- for all or select clients. Labels currently supported are the
- standard one-up, one inch deep labels, available from most any
- office/computer supply store. A single label for a select client
- may be printed from the Print menu option available from within
- each client screen.
-
- Upon selecting this option, you will be presented with an option
- grid. Within the grid, you will be able to specify what types of
- clients you wish to generate labels for.
-
- First, you are asked if you wish to print labels for clients with
- open accounts receivable balances only. You might find this
- useful to generate envelope labels for use with client statements
- if you don't wish to utilize windowed envelopes. Enter "Y" for
- yes or "N" for no.
-
- Next you may specify the sort (or order) of the labels. Enter "N"
- for a labels sort by client name, "I" for a sort by client id
- number, or "Z" for a sort by zip code.
-
- 12/18/91 Interstellar Systems, Inc. Wednesday
- ─────────────────────────── Business Accounting System ─────────────────────────
- Generate Client Mailing Labels
-
- * Option Grid: Mailing Labels
- ┌─────────────────────────────────────────────┬─────────────────────┐
- │ Generate for Clients with AR Balance only │ N Y or N │▒
- ├─────────────────────────────────────────────┼─────────────────────┤▒
- │ Labels Sort: Name/Id/Zip │ N N/I/Z │▒
- ├─────────────────────────────────────────────┼─────────────────────┤▒
- │ Client Status: Active/Inactive/Both │ A A/I/B │▒
- ├─────────────────────────────────────────────┼─────────────────────┤▒
- │ Client Type: (whole, portion, blank to omit)│ │▒
- ├─────────────────────────────────────────────┼─────────────────────┤▒
- │ Client Code: (whole, portion, blank to omit)│ │▒
- ├─────────────────────────────────────────────┼─────────────────────┤▒
- │ Print from beginning of file │ Y Y or N │▒
- ├─────────────────────────────────────────────┼─────────────────────┤▒
- │ │ │▒
- └─────────────────────────────────────────────┴─────────────────────┘▒
- ▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒
-
- Business Accounting System Rev. 1.0 Page 80
-
- Next indicate the status of the clients you wish to print. The
- status can be updated from within each client screen. Enter "A"
- for active clients only, "I" for inactive only, or "B" for both
- active and inactive clients.
-
- Next you may specify a client Type and/or client Code to print.
- Both of these are user-definable two character fields available
- on each client screen. You may make a whole entry, a portion, or
- leave these entries blank to omit this feature.
-
- Lastly, you are asked if you wish to start printing from the
- beginning of the file. This can be quite useful if you were
- printing labels and experienced a printer jam which messed up
- your label run. You could use this feature to specify a client to
- begin printing with. Press "Y" for yes for "N" for no. If you
- answer yes, a client look-up will automatically be initiated. You
- will first be asked if you wish to look-up the client by partial
- name or partial id. Once you have made your selection and entry,
- a window of clients will then appear. From within the window,
- utilize the cursor movement and PageUp and PageDown keys to
- position the light-bar over the appropriate client. Press the
- [Enter] to select a client, and the client's name will be
- inserted into the grid. Press [Esc] if you wish to abort the
- look-up.
-
- Once you have completed grid entry, you will be asked if the grid
- information is correct. Press "N" for no and you will be allowed
- to edit the grid information again. Press "Q" to quit and exit.
- To continue with printing, press "Y" for yes.
-
- Once you have selected to continue, you will be asked if you wish
- to print an alignment test. You will continue to be prompted for
- an alignment test until you answer no. You will then be asked if
- you are ready to begin printing. Answer yes or no appropriately.
- Once printing has been completed, you will be returned to the
- Main Menu screen.
-
-
- SYSTEM REPORTS
-
- A number of report listings, registers, and sales analyses can be
- generated by the BA system. All reports are designed to print on
- 80 column paper, and all may be displayed to the screen as well.
- Each report is generated from the Reports submenu of the Main
- Menu screen. The reports are divided into three groups composed
- of file listings, report registers, and report analyses.
-
- Each report is supplied with an option grid allowing you
- customize the contents of the report. After you have completed
- grid entries, you will be asked if the grid information is
- correct. Press "N" for no to edit the grid information once
- again. Press "Q" to quit and return to the Main Menu screen, or
- press "Y" or yes to continue with report generation.
-
- Business Accounting System Rev. 1.0 Page 81
-
- FILE LISTINGS
-
-
- ┌──────────────────────── Interstellar Systems, Inc. ──────────────────────┐
- │ 11/19/91 Tuesday │
- │ Per. 11 Durham Software Services, Inc. │
- │ Business Accounting System │
- │ Copyright (c) 1992 Revision 1.0 │
- └───────────────────────────────> Main Menu <──────────────────────────────┘
- File Updates Printing Reports Utilities
- ┌────────────────────────┐
- │ │
- │ 1. File Listings <<< │
- ┌─────────────────────┐Registers │
- │ │Analyses │
- │ Client Listing │ │
- │ Item Code Listing │─────────────┘
- │ Expense Categories │
- │ │
- │ Esc to exit │
- └─────────────────────┘
-
-
- Once you select the File Listings option from the reports menu,
- you will be presented with another menu of available file
- listings, namely a Client Listing, an Item Code Listing, and an
- Expense Category Listing. Utilize the cursor movement keys to
- position the light-bar over the report you wish to generate and
- press [Enter]. To return to Reports submenu, press [Esc].
-
- For each report, once you have made your selection, you will be
- asked if you wish to display the report or print the report.
- Press "D" to display to the screen console, or "P" to print to a
- printing device. Press [Esc] if you wish to abort your selection.
-
- CLIENT LISTING
-
- To obtain a listing of your client file, select this option. The
- listing contains most all the information fields appearing on the
- client screen. Once you have selected, you will be presented with
- an option grid.
-
- First within the grid, you must specify the report sort (or
- order). Press "I" to sort by client id number or "N" to sort by
- client name.
-
- Next, indicate the status of those clients you wish. Enter "A"
- for active clients only, "I" for inactive only, or "B" for both
- active and inactive.
-
- The remaining grid entries are optional. You may indicate a
- whole or partial client type, client code, or id number to print.
- The type and code are user-definable fields. Make your entries or
- leave the entries blank to omit this feature.
-
-
- Business Accounting System Rev. 1.0 Page 82
-
- 11/19/91 Interstellar Systems, Inc. Tuesday
- ─────────────────────────── Business Accounting System ─────────────────────────
- System Reports
-
- * Option Grid: Display Client Listing
- ┌─────────────────────────────────────────────┬─────────────────────┐
- │ Report sort: client Id or client Name │ I I or N │▒
- ├─────────────────────────────────────────────┼─────────────────────┤▒
- │ Client status: Active/Inactive/Both │ A A/I/B │▒
- ├─────────────────────────────────────────────┼─────────────────────┤▒
- │ Client type: (whole, partial, or blank) │ │▒
- ├─────────────────────────────────────────────┼─────────────────────┤▒
- │ Client code: (whole, partial, or blank) │ │▒
- ├─────────────────────────────────────────────┼─────────────────────┤▒
- │ Client ID: (whole, partial, or blank) │ │▒
- └─────────────────────────────────────────────┴─────────────────────┘▒
- ▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒
-
-
- ITEM CODE LISTING
-
- Select this report to obtain a listing of your item codes you
- utilize for billing. It contains most all information fields
- appearing on the item code screen. Once you have made this
- selection, you will be presented with a grid.
-
- First within the grid, you must specify the report sort. Press
- "I" for a sort by item code or "D" for a sort by item
- description.
-
- Next, indicate what types of item codes you wish. Enter "A" for
- all items, "P" for those items you have designated as products,
- or "S" for only those items you have designated as services.
-
-
- 11/19/91 Interstellar Systems, Inc. Tuesday
- ─────────────────────────── Business Accounting System ─────────────────────────
- System Reports
-
- * Option Grid: Display Item Code Listing
- ┌─────────────────────────────────────────────┬─────────────────────┐
- │ Report sort: Item code or Description │ I I or D │▒
- ├─────────────────────────────────────────────┼─────────────────────┤▒
- │ Item type: All/Products/Services │ A A/P/S │▒
- ├─────────────────────────────────────────────┼─────────────────────┤▒
- │ Category: (whole, partial, or blank) │ │▒
- ├─────────────────────────────────────────────┼─────────────────────┤▒
- │ Item Code: (whole, partial, blank for all) │ │▒
- └─────────────────────────────────────────────┴─────────────────────┘▒
- ▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒
-
-
- The remaining grid entries are optional. You may indicate a
- whole, partial, or blank category code to generate, and a whole,
- partial, or blank item code to generate. The category is a user-
- defined field. Make your entries or leave these blank to omit
- this feature.
-
- Business Accounting System Rev. 1.0 Page 83
- 7
- EXPENSE CATEGORY LISTING
-
- Select this report to obtain a listing of all your expense
- categories. It lists the category code, description, and if you
- wish, year-to-date expense totals and percent of total expense
- amount for the current year.
-
-
- 11/19/91 Interstellar Systems, Inc. Tuesday
- ─────────────────────────── Business Accounting System ─────────────────────────
- System Reports
-
- * Option Grid: Display Expense Category Listing
- ┌─────────────────────────────────────────────┬─────────────────────┐
- │ Report sort: Category or Description │ C C or D │▒
- ├─────────────────────────────────────────────┼─────────────────────┤▒
- │ Include Year-to-Date Totals │ Y Y or N │▒
- └─────────────────────────────────────────────┴─────────────────────┘▒
- ▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒
-
-
- First indicate the report sort for this listing, either "C" for
- expense category, or "D" for expense description. Next you are
- asked if you wish to include year-to-date distribution totals on
- the report. Enter "Y" for yes, or "N" for no. If you answer yes,
- a report column indicating percent of total expense for the
- current year will also be generated.
-
- REPORT REGISTERS
-
-
- ┌──────────────────────── Interstellar Systems, Inc. ──────────────────────┐
- │ 11/19/91 Tuesday │
- │ Per. 11 Durham Software Services, Inc. │
- │ Business Accounting System │
- │ Copyright (c) 1992 Revision 1.0 │
- └───────────────────────────────> Main Menu <──────────────────────────────┘
- File Updates Printing Reports Utilities
- ┌────────────────────────┐
- │ │
- │ 1. File Listings │
- │ 2. Report Registers <<<│
- ┌─────────────────────┐Analyses │
- │ │ │
- │ Invoice Register │─────────────┘
- │ Payment Register │
- │ Expense Register │
- │ Sales Tax Liability │
- │ │
- │ Esc to exit │
- └─────────────────────┘
-
- Once you select the Report Registers option from the reports
- menu, you will be presented with another menu of available
- registers, namely an Invoice Register, a Payments Register, an
- Expense Register, and a Sales Tax Liability register. Utilize the
- cursor movement keys to position the light-bar over the report
- you wish to generate and press [Enter]. To return to the Reports
- submenu, press [Esc].
-
- Business Accounting System Rev. 1.0 Page 84
-
- INVOICE REGISTER
-
- This report is a register of accrued billings for all types of
- invoices, debit and credit, and is sorted and subtotaled by
- reporting period. You may generate it for any time span within
- the current year or the previous year. It lists the reporting
- period, invoice number, invoice date, invoice type, invoice
- reference, client id, sales tax total, and invoice total.
-
- First within the grid, you must specify the file to use, either
- the current year file, or last year's file. Press "C" for current
- or "L" for last year.
-
- Next indicate the invoice types you wish to generate. Enter "A"
- for all types, "I" for invoices only, "F" for finance charge
- invoices only, "C" for credit memos only, or "R" for credit
- receipt invoices only.
-
- Next you may specify a reporting period range to print. It
- contains a beginning reporting period and an ending reporting
- period. Both entries will default to the present reporting
- period. You my utilize either one of the reporting periods, both
- of them, or leave these entries blank to include all reporting
- periods on file.
-
-
- 11/19/91 Interstellar Systems, Inc. Tuesday
- ─────────────────────────── Business Accounting System ─────────────────────────
- System Reports
-
- * Option Grid: Display Invoice Register
- ┌─────────────────────────────────────────────┬─────────────────────┐
- │ File to utilize: Current year or Last year │ C C or L │▒
- ├─────────────────────────────────────────────┼─────────────────────┤▒
- │ Invoice Type: All/Inv/Fn/CM/Rcpt │ A A/I/F/C/R │▒
- ├─────────────────────────────────────────────┼─────────────────────┤▒
- │ Reporting periods (blank omits a range) │ 11 thru 11 │▒
- ├─────────────────────────────────────────────┼─────────────────────┤▒
- │ Begin Invoice date (blank to omit) │ / / │▒
- ├─────────────────────────────────────────────┼─────────────────────┤▒
- │ Begin Invoice date (blank to omit) │ / / │▒
- └─────────────────────────────────────────────┴─────────────────────┘▒
- ▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒
-
-
- Lastly, you may specify both a beginning and ending invoice date
- range to generate. You may enter either one of the two, both, or
- leave these entries blank for all invoice dates.
-
- PAYMENTS REGISTER
-
- This register is a listing of accounts receivable and invoice
- payments, applied credit payments, and write-off adjustments. It
- is sorted and subtotaled by reporting period and may be generated
- from the current year file or last year's. It lists reporting
- period, invoice number, payment/transaction date, payment type,
- and the payment/transaction amount.
-
- Business Accounting System Rev. 1.0 Page 85
-
- 12/19/91 Interstellar Systems, Inc. Thursday
- ─────────────────────────── Business Accounting System ─────────────────────────
- System Reports
-
- * Option Grid: Display Payment Register
- ┌─────────────────────────────────────────────┬─────────────────────┐
- │ File to utilize: Current year or Last year │ C C or L │▒
- ├─────────────────────────────────────────────┼─────────────────────┤▒
- │ Payment Type: Receipt/Cr.apply/Wroff/All │ R R/C/W/A │▒
- ├─────────────────────────────────────────────┼─────────────────────┤▒
- │ Reporting periods (blank omits a range) │ 11 thru 11 │▒
- ├─────────────────────────────────────────────┼─────────────────────┤▒
- │ Begin Payment date (blank to omit) │ / / │▒
- ├─────────────────────────────────────────────┼─────────────────────┤▒
- │ Begin Payment date (blank to omit) │ / / │▒
- └─────────────────────────────────────────────┴─────────────────────┘▒
- ▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒
-
-
- First within the grid, you must specify the file to use, either
- the current year file, or last year's file. Press "C" for current
- or "L" for last year.
-
- Next, indicate the payment type(s) to be included on the
- register. Enter "R" for payment receipts only, "C" for applied
- credits only, "W" for write-off adjustments only, or "A" for all
- payment types.
-
- Next you may specify a reporting period range to print. It
- contains a beginning reporting period and an ending reporting
- period. Both entries will default to the present reporting
- period. You my utilize either one of the reporting periods, both
- of them, or leave these entries blank to include all reporting
- periods on file.
-
- Lastly, you may specify both a beginning and ending payment date
- range to generate. You may enter either one of the two, both, or
- leave these entries blank for all payment dates.
-
- SALES TAX LIABILITY REGISTER
-
- This report discloses your sales tax liability for any given
- month within the current year or last year. In generating the
- report, you may specify either a cash or accrual basis of
- accounting. The cash basis reports only invoices paid in full.
- This report lists invoice number, invoice type, date closed for
- cash basis or invoice date for accrual basis, taxable revenue,
- and total sales tax payable.
-
- First within the grid, you must specify the file to use, either
- the current year file, or last year's file. Press "C" for current
- or "L" for last year.
-
- Next, indicate your basis of accounting, either "C" for cash
- basis, or "A" for accrual basis.
-
- Business Accounting System Rev. 1.0 Page 86
-
- 11/19/91 Interstellar Systems, Inc. Tuesday
- ─────────────────────────── Business Accounting System ─────────────────────────
- System Reports
-
- * Option Grid: Display Sales Tax Liability
- ┌─────────────────────────────────────────────┬─────────────────────┐
- │ File to utilize: Current year or Last year │ C C or L │▒
- ├─────────────────────────────────────────────┼─────────────────────┤▒
- │ Reporting basis: Cash or Accrual │ C C or A │▒
- ├─────────────────────────────────────────────┼─────────────────────┤▒
- │ Reporting Month/Year (mm/yy) │ 11/91 │▒
- └─────────────────────────────────────────────┴─────────────────────┘▒
- ▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒
-
-
- Lastly, indicate the month and year you wish to report in the
- format, MM/YY. It will default to the present month and year.
-
- REPORT ANALYSES
-
-
- ┌──────────────────────── Interstellar Systems, Inc. ──────────────────────┐
- │ 11/19/91 Tuesday │
- │ Per. 11 Durham Software Services, Inc. │
- │ Business Accounting System │
- │ Copyright (c) 1992 Revision 1.0 │
- └───────────────────────────────> Main Menu <──────────────────────────────┘
- File Updates Printing Reports Utilities
- ┌────────────────────────┐
- │ │
- │ 1. File Listings │
- │ 2. Report Registers │
- │ 3. Report Analyses <<<│
- ┌─────────────────────┐ │
- │ │─────────────┘
- │ Open Receivables │
- │ Client Sales │
- │ Item Sales │
- │ │
- │ Esc to exit │
- └─────────────────────┘
-
-
- Once you select the Report Analyses option from the Reports
- submenu, you will be presented with another menu of available
- analyses, namely an Open Receivables Analysis for aging, a Client
- Sales Analysis, and an Item Sales Analysis. Utilize the cursor
- movement keys to position the light-bar over the report you wish
- to generate and press [Enter]. To return to the Reports submenu,
- press [Esc].
-
- Business Accounting System Rev. 1.0 Page 87
-
- OPEN RECEIVABLES ANALYSIS
-
- This listing is basically a report format of your client
- statements. It discloses all open invoices by client, and ages
- each invoice within user-defined aging windows with subtotals. It
- discloses the client id, client name, contact name and phone
- number, invoice number, invoice date, and open invoice amount.
-
- First within the grid, you must specify the scope of clients you
- wish to print. Enter "A" for active clients only, "I" for
- inactive clients only, or "B" for both. The active/inactive
- status may be updated from within each client screen.
-
- Next you must indicate the method you wish to utilize in aging
- the invoices. You may select to age invoices from either the
- invoice date, or age the invoices from the due date. Either
- method is an accepted accounting practice. Enter "I" for invoice
- date or "D" for due date.
-
-
- 12/19/91 Interstellar Systems, Inc. Thursday
- ─────────────────────────── Business Accounting System ─────────────────────────
- System Reports
-
- * Option Grid: Display Open Receivables Listing
- ┌─────────────────────────────────────────────┬─────────────────────┐
- │ Client status: Active/Inactive/Both │ A A/I/B │▒
- ├─────────────────────────────────────────────┼─────────────────────┤▒
- │ Age from: Invoice date or Due date │ I I or D │▒
- ├─────────────────────────────────────────────┼─────────────────────┤▒
- │ Age Credits within Current window │ Y Y or N │▒
- ├─────────────────────────────────────────────┼─────────────────────┤▒
- │ Number days: 1st aging window │ 10 │▒
- ├─────────────────────────────────────────────┼─────────────────────┤▒
- │ Number days: 2nd aging window │ 20 │▒
- ├─────────────────────────────────────────────┼─────────────────────┤▒
- │ Number days: 3rd aging window │ 30 │▒
- ├─────────────────────────────────────────────┼─────────────────────┤▒
- │ Number days: 4th aging window │ 45 │▒
- └─────────────────────────────────────────────┴─────────────────────┘▒
- ▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒
-
-
- Next you are asked if you wish to age any credits which may exist
- within the current aging window. Answer "Y" for yes or "N" for no
- if you wish credits to be aged in the same manner as debit
- balances. Once again, either method is an accepted accounting
- practice.
-
- From the next four grid lines, you will define the aging windows
- to be utilized by the report. Enter the number of days for each
- of the respective windows. The Current window will be defined as
- the number of days up to the first window you specify as default.
- Utilize any combination you wish such as 10, 20, 30, 45 or 30,
- 60, 90, 120.
-
- Business Accounting System Rev. 1.0 Page 88
-
- CLIENT SALES ANALYSIS
-
- This report discloses sales on a client basis and is available in
- both a detail or summary format. The detail format lists
- reporting period, invoice number, invoice date, invoice type,
- invoice reference, and invoice amount within each client
- grouping. The summary report lists client id, client name and
- department, and total sales amount.
-
- First within the grid, you must specify the file to use, either
- the current year file, or last year's file. Press "C" for current
- or "L" for last year.
-
- Next you may specify a reporting period range to print. It
- contains a beginning reporting period and an ending reporting
- period. Both entries will default to the present reporting
- period. You my utilize either one of the reporting periods, both
- of them, or leave these entries blank to include all reporting
- periods on file.
-
-
- 11/19/91 Interstellar Systems, Inc. Tuesday
- ─────────────────────────── Business Accounting System ─────────────────────────
- System Reports
-
- * Option Grid: Display Client Sales Analysis
- ┌─────────────────────────────────────────────┬─────────────────────┐
- │ File to utilize: Current year or Last year │ C C or L │▒
- ├─────────────────────────────────────────────┼─────────────────────┤▒
- │ Reporting periods (blank omits a range) │ 11 thru 11 │▒
- ├─────────────────────────────────────────────┼─────────────────────┤▒
- │ Begin Invoice date (blank to omit) │ / / │▒
- ├─────────────────────────────────────────────┼─────────────────────┤▒
- │ Begin Invoice date (blank to omit) │ / / │▒
- ├─────────────────────────────────────────────┼─────────────────────┤▒
- │ Reporting level: Summary or Detail │ S S or D │▒
- ├─────────────────────────────────────────────┼─────────────────────┤▒
- │ Report sort: Id number or Sales volume │ I I or S │▒
- └─────────────────────────────────────────────┴─────────────────────┘▒
- ▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒
-
-
- Next you may specify an invoice date range to generate. You may
- utilize either one of the two dates, both, or leave these entries
- blank to report all invoice dates.
-
- Next indicate the reporting level or format you wish to generate,
- either detail or summary. Enter "D" for detail or "S" for
- summary. If you indicate a summary report, you are then asked to
- provide a report sort. Enter "I" to sort the report by client id
- or "S" to sort by dollar sales volume (most to least).
-
- Business Accounting System Rev. 1.0 Page 89
-
- ITEM SALES ANALYSIS
-
- This report discloses sales on an item code basis and is
- available in both a detail or summary format. The detail format
- lists reporting period, client id, invoice number, invoice date,
- quantity sold, extended cost (asset), extended price (revenue),
- and extend margin (price less cost). The summary report lists
- the item code, item description, quantity sold, extended cost,
- extended price, and extended margin.
-
- First within the grid, you must specify the file to use, either
- the current year file, or last year's file. Press "C" for current
- or "L" for last year.
-
- Next you may specify a reporting period range to print. It
- contains a beginning reporting period and an ending reporting
- period. Both entries will default to the present reporting
- period. You my utilize either one of the reporting periods, both
- of them, or leave these entries blank to include all reporting
- periods on file.
-
-
- 11/19/91 Interstellar Systems, Inc. Tuesday
- ─────────────────────────── Business Accounting System ─────────────────────────
- System Reports
-
- * Option Grid: Display Item Sales Analysis
- ┌─────────────────────────────────────────────┬─────────────────────┐
- │ File to utilize: Current year or Last year │ C C or L │▒
- ├─────────────────────────────────────────────┼─────────────────────┤▒
- │ Reporting periods (blank omits a range) │ 11 thru 11 │▒
- ├─────────────────────────────────────────────┼─────────────────────┤▒
- │ Begin Invoice date (blank to omit) │ / / │▒
- ├─────────────────────────────────────────────┼─────────────────────┤▒
- │ Begin Invoice date (blank to omit) │ / / │▒
- ├─────────────────────────────────────────────┼─────────────────────┤▒
- │ Reporting level: Summary or Detail │ S S or D │▒
- ├─────────────────────────────────────────────┼─────────────────────┤▒
- │ Report sort: Item code or Sales volume │ I I or S │▒
- └─────────────────────────────────────────────┴─────────────────────┘▒
- ▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒
-
-
- Next you may specify an invoice date range to generate. You may
- utilize either one of the two dates, both, or leave these entries
- blank to report all invoice dates.
-
- Next indicate the reporting level or format you wish to generate,
- either detail or summary. Enter "D" for detail or "S" for
- summary. If you indicate a summary report, you are then asked to
- provide a report sort. Enter "I" to sort the report by item code
- or "S" to sort by dollar sales volume (most to least).
-
- Business Accounting System Rev. 1.0 Page 90
-
- SYSTEM UTILITIES
-
- Several utilities may be accessed from the Utilities submenu of
- the Main Menu screen. From this submenu, you may select to
- reindex the files, change the current system date, access the
- system installation screen to reconfigure certain operating
- parameters, and recalculate the file balances. Each of these
- utilities may be run on an as-needed basis.
-
- REINDEX FILES
-
- File reindexing is a system utility that may need to be performed
- on occasion. Index files are those files which have the file
- extension .NTX, and each one has an association with some data
- file. Index files allow data to be retrieved very quickly,
- similar to an index in a textbook, and they also are utilized to
- make reports and data screens, such as a client screen, appear in
- a particular order or sequence. Another function of the
- reindexing option is to actually perform a physical purge of any
- records in the system marked as deleted. This is a process known
- as "packing". Once the files are packed and reindexed, deleted
- records are gone forever and may not be recalled.
-
- Index files are also more prone to occasional physical
- distortion and corruption than are data files. You might possibly
- encounter index file corruption if you experience a power outage
- while using the system, or if you turn the computer off without
- exiting properly. Signs of index file corruption include not
- being able to retrieve a record (such as a client record or item
- code) that you are certain is on file. Another symptom of
- corruption may be a report which appears out of sequence. A good
- rule of thumb is, when in doubt, try reindexing the files and see
- if this fixes the problem you are experiencing.
-
- Once you select this option, you will be asked if you wish to
- purge deleted records while reindexing. Press "Y" for yes or "N"
- for no, or press [Esc] to abort. You will then be asked if you
- wish to proceed with the file reindexing. Answer yes or no
- appropriately. Once reindexing has begun, do not interrupt it
- for any reason. Its length of duration is solely dependent upon
- the size of your data files.
-
- CHANGE SYSTEM DATE
-
- This option will allow you to modify the present system date. The
- system date is the date the BA system thinks it is running under.
- It is displayed on the upper portion of the Main Menu screen and
- on various other screens, and is often used in providing default
- entries for dates.
-
- When you enter the BA system, the system date usually will
- default to the current operating system date. This is the date
- that DOS thinks it is running under. If your operating system
- date is incorrect, more than likely the system date will likewise
- be incorrect. If you find that DOS is consistently losing the
- current date, you may have a weak or dead battery which needs to
- be replaced.
-
- Business Accounting System Rev. 1.0 Page 91
-
- Anytime you change the system date to some date in the past, and
- you later exit the BA system, the system date will revert back to
- the operating system date automatically. Conversely, if you
- change the system date to some date in the future, and later exit
- the BA system, the modified system date will be retained when you
- re-enter the BA system.
-
- An example of the need to modify the system date may be a
- situation in which you are behind in your paperwork by several
- days. Rather than having to change default dates all the time,
- you might want to change the system date to correspond with the
- date of your invoices, payments, and expenses. If you change the
- system date to some date in the future, remember you will have
- change it back to the actual date yourself. If you change it to
- some date in the past (the past actually means some date prior to
- the operating system date), it will automatically reset to the
- operating system date when you exit and re-enter the BA system.
-
- Once you select this option, you are simply asked to enter the
- revised system date. It will default to the current system date
- setting. Enter that date, or press [Esc] to abort the update.
-
- SYSTEM INSTALLATION
-
- This option of the Utilities submenu allows you access to the
- system installation area where you may modify certain
- configuration parameters utilized by the BA system. For a
- detailed explanation of this area, please refer to the
- installation guide area of this documentation.
-
- RECALCULATE FILE BALANCES
-
- This selection will force a recalculation of all open client
- invoices, debit and credit, and update the client screen totals
- displayed for "AR Balance" and "Unapplied Credit". If you ever
- notice a discrepancy between these client screen totals, and the
- client totals on the Open Receivables Analysis and/or client
- statement, running this utility should rectify the problem. The
- client totals on the Open Receivables Analysis should always be
- the correct figures for open invoice balances.
-
- When you select this option, you will be asked if you wish to
- proceed with recalculation. Answer yes or no appropriately. Once
- the recalculation has begun, please do not interrupt it.
-
- Business Accounting System Rev. 1.0 Page 92
-
- NETWORKING ON A LAN
-
- The Multi-user version of the Business Accounting System is only
- available directly from Interstellar Systems, Inc., or a bona-
- fide ISI sales representative. The BA Multi-user version should
- be compatible with most any NetBios compatible networking
- software such as Novell or Lantastic. Please contact ISI directly
- to place an order for the Multi-user version of the BA System.
-
- NETWORK CONSIDERATIONS
-
- For the most part, the multi-user version of the BA System works
- identically as the single-user version with several exceptions.
- In general, these exceptions will not affect you unless you
- happen to be doing the same thing as another user on the network,
- such as adding clients or item codes, or creating and maintaining
- client invoices. Below is a listing of those things most likely
- to affect you.
-
- 1. Certain functions cannot be run at all unless you are the only
- workstation using the BA System. This is includes Reindexing the
- files, performing a Recalculation (both available within the
- Utilities submenu), and performing a period or year-end closing.
-
- If you attempt to access one of these areas while other
- workstations (or users) are on-line, you will be presented with
- a message denying you access to that area. Conversely, once you
- have started one of these functions, no other workstations will
- be allowed entry into the BA System until you have completed the
- function.
-
- 2. The BA System tracks workstation traffic by setting flags in
- particular system files. Occasionally for various reasons such a
- power outages, improper sign-off, or whatever else, these flags
- are not reset properly. If the BA System denies you access
- because of other users, or because of a System Maintenance
- operation (those functions listed above), and you are absolutely
- certain that the message is inaccurate, you may reset the system
- flags by running the utility program provided, BASYSRES.EXE.
- Since this is a separate EXE file, you will need to run it
- directly from the DOS level. Follow the on-screen instructions
- provided when utilizing this utility.
-
- ┌───────────────────────────────────────────────────────────┐
- │ W A R N I N G ! ! ! │▒
- │ │▒
- │ It is of the utmost importance that you run the utility, │▒
- │ BASYSRES.EXE only when you are CERTAIN that no other │▒
- │ workstations are utilize the BA System. A physical │▒
- │ inspection of each workstation is strongly recommended │▒
- │ in order to be absolutely certain, otherwise you are │▒
- │ very likely to corrupt and destroy any work being per- │▒
- │ formed by other users. Ideally, this process should be │▒
- │ considered a network supervisory function, and only one │▒
- │ user should have authority to perform it. │▒
- └───────────────────────────────────────────────────────────┘▒
- ▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒▒
-
- Business Accounting System Rev. 1.0 Page 93
-
- To run BASYSRES.EXE, you must first move to the drive/directory
- which contains the BA System files using the DOS change directory
- commands. Next from the DOS prompt, enter "BASYSRES" (not the
- quotes) and press [Enter]. A screen will then appear explaining
- the purpose of the reset utility, and you will be asked if you
- wish to continue with the system reset. ONLY IF YOU ARE CERTAIN
- YOU ARE THE ONLY USER should you continue, otherwise you should
- abort the utility.
-
- If you continue, the program will then reset any applicable
- networking flags. Any temporary files residing on the BA
- drive/directory will also be deleted automatically. These
- temporary files are utilized throughout the BA System. Ideally,
- there shouldn't be any hanging around, but for whatever reasons,
- you may notice their presence. The first three characters of
- these temporary files always start with "BA0" (the third
- character is a zero), and will have file extensions as DBF, DBT,
- or NTX. Once the reset has been completed, you will be returned
- to the DOS level.
-
- 3. While routinely utilizing the system, you may, from time to
- time, see windowed messages on your screen to the effect of
- "Attempting to Lock File" or "Attempting to Lock Record". This is
- the system's attempt to gain the exclusive access of a data file
- or record, while another workstation is preventing this from
- taking place. Once the other workstation releases the file or
- record lock, your attempt at gaining exclusive use should
- succeed.
-
- At other times, you may receive an additional prompt within this
- window to the effect of "Press Esc to abort or any other key to
- retry". In this situation, you are given the option to abort your
- current update, or abort your attempt at gaining exclusive
- access over a group of data files.
-
- 4. Another network consideration is an instance where two or more
- workstations are trying to perform an update to an identical
- record, such as trying to edit the exact same client screen.
- Another situation might be the addition of a client in which two
- or more workstations are attempting to assign the exact same
- client id number to a given client, even though they may be two
- totally separate client entities. In both of these situations,
- the workstation which saves (or writes) the update first will
- succeed. Any other workstations will be informed that the record
- has been altered by another workstation, or the id you attempted
- to use has already been assigned. In these scenarios, the
- subsequent workstation updates will be discarded. Just remember
- that he/she who saves first will succeed. Those who don't will
- have to rekey their updates.
-
- Business Accounting System Rev. 1.0 Page 94
-
- THANK YOU
-
- This concludes the User's Documentation Manual of the Business
- Accounting System. Interstellar Systems hopes you have found it
- both informative and useful, and we hope this software meets most
- all of your expectations. If you have questions or problems,
- please contact our office between the hours of 9:00 am and 6:00
- pm Monday through Friday. If you are a shareware user of this
- software, and you wish to continue using it, please register it,
- as this is the only way you will received support and/or updates.
- Registered users are also entitled to discounted updates as they
- are released.
-
- ABOUT THE AUTHOR
-
- Richard Duke received his bachelors degree in History from
- Appalachian State University in 1980. Somehow, he got involved
- with PC's shortly thereafter and the rest is history. In the
- Spring of 1991, he got bitten by the recession bug (Thanks
- George) and became one of the unemployed. Shortly thereafter, he
- created his own software company, Interstellar Systems, Inc.,
- from which he writes and supports a variety of accounting and
- information systems for a local client base, in addition to his
- work with the Business Accounting System. He is married to a
- wonderful girl, and they have three cats, PC, Magic, and Mrs.
- Peele.
-
- Richard Duke
- Interstellar Systems, Inc.
- 3704-003 Chimney Ridge Pl.
- Durham, NC 27713
- Tel. (919)493-0435
- Fax. (919)489-6187
- Fidonet Address 1:3641/1
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- Business Accounting System Rev. 1.0 Page 95
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- USER REGISTRATION FORM FOR THE BUSINESS ACCOUNTING SYSTEM
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- QTY DESCRIPTION AMOUNT
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- ____ Single-User Registration (Disks only).. $ 50.00 ea __________
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- ____ Single-User with Disks/User's Manual .. $ 75.00 ea __________
- (Specify Disk format: ____5.25" ____3.5")
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- ____ Multi-User Registration (Disks only)... $ 95.00 ea __________
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- ____ Multi-User with Disks/User's Manual ... $120.00 ea __________
- (Specify Disk format: ____5.25" ____3.5")
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- (NC residents add 6.5% Sales Tax).................. $ __________
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- Shipping Charge inside US: add $ 5.00
- Shipping Charge outside US: add $ 8.00
- (All orders Sent UPS Ground or 1st Class Mail)..... $ __________
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- Order Total ....................................... $ ==========
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- Your Name: __________________________________
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- Company Name: __________________________________
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- Address1: __________________________________
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- Address2: __________________________________
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- City/St/Zip: __________________________________
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- Telephone: __________________________________
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- Payment Method: ___Check or Money Order ____ MC ____Visa
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- Card #: _________________________ Expr.Date: ___/___
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- In Name of: ____________________________________________
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- Remit To: Interstellar Systems, Inc.
- 3704-003 Chimney Ridge Pl.
- Durham, NC 27713
- Tel. (919)493-0435
- Fax. (919)489-6187
- Fidonet Address 1:3641/1
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