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- YOUR MODERN MICROCOMPUTERS' BILLING LICENSE
-
- Even though the program is shareware, and can be freely copied, there are
- still some limitations to protect the quality of the distribution of the
- program and to support future development.
-
- Users of MODERN MICROCOMPUTERS' BILLING software may make copies of this
- program for trial use by others on a PRIVATE NON-COMMERCIAL BASIS.
-
- By accepting and using this software, you acknowledge that this software may
- not suit your particular requirements or be completely trouble-free.
-
- With proper application, this software will perform as described. However,
- MODERN MICROCOMPUTERS is not responsible for your specific application or
- any problems resulting from use of this software.
-
- If the software does not perform as described, our liability to you is
- limited to replacing the software or refunding the purchase price (if pur
- chased and registered). We have no liability to you or any other person or
- entity for any damage or loss, including special, incidental, or consequen
- tial damages, caused by this software, directly or indirectly. Some states
- do not allow the limitation or exclusion of liability for incidental or con
- sequential damages, so the above limitation or exclusion may not apply to
- you.
-
- This Agreement is governed by the laws of the State of New York. Should any
- part of this agreement be held invalid, the remainder of the Agreement will
- still be in effect. This Agreement can only be modified by written state
- ment signed by MODERN MICROCOMPUTERS.
-
- Under this license, you may NOT:
-
- 1) Distribute the program in connection with any other product or service,
- or as part of a corporate or institutionally sponsored distribution.
- Site licenses and bundling agreements are available upon request.
- 2) Charge anything for MODERN MICROCOMPUTERS' BILLING. An exception is
- made for registered user groups who may charge a cost-based fee (not to
- exceed $10) to cover their own costs.
- 3) Distribute the program in modified form.
- 4) Copy or reproduce the printed documentation in any form.
-
- THE SHAREWARE CONCEPT
-
- MODERN MICROCOMPUTERS' BILLING is distributed through a unique marketing
- approach called shareware. The diskette with programs on it can be freely
- copied and shared. It is also available from us, MODERN MICROCOMPUTERS, for
- $20.00 plus $2 shipping and handling. We ask you to help us distribute
- MODERN MICROCOMPUTERS BILLING by sharing unmodified copies of the diskette
- with others. We also encourage you and those to whom you have distributed
- the program to register your copy. Registration has a number of benefits to
- you:
-
- 1) You will receive the latest copy of the manual, including all recent
- updates, additions, complete table of contents and index.
- 2) The most recent version of the program.
- 3) Automatic notice of updates.
- 4) You will be supporting the concept that allowed you to receive MODERN
- MICROCOMPUTERS' BILLING in the first place. Only through user support
- can be continue to improve MODERN MICROCOMPUTERS BILLING and perhaps
- develop other products.
-
-
-
-
-
-
- Only by supporting the program's authors who release valuable programs as
- shareware can you encourage others to do the same.
-
- NO-QUIBBLE LICENSE AGREEMENT
-
- YOU ARE IMPORTANT TO US AS A CUSTOMER AND WE RESPECT YOUR NEEDS
-
- We know that it's extremely important to you that our software be easy to
- use, and so our disks contain only standard unprotected files with no
- 'fingerprints' and requiring no special installation routines. This means
- that you can install our files on hard disks with no fear of future
- problems.
-
- Our only concession to copy protection is that our program code is encrypted
- with serial number and/or user/s name which appears on the screen and makes
- each disk traceable.
-
- Our software license restriction is essentially that each licensed copy of
- the software must be used on ONLY ONE COMPUTER AT A TIME.
-
- BY USING THIS SOFTWARE YOU INDICATE YOUR ACCEPTANCE OF THE THIS SOFTWARE
- LICENSING AGREEMENT.
-
- This agreement is in keeping with, and our software is protected by, the
- terms of the United States Copyright Law and certain International Treaty
- provisions.
-
- We hope you will find the program useful and will support the shareware
- concept by registering your copy with us. Please use the registration form
- on the next page.
-
- In the event that the REGISTRATION FORM is missing, you can receive one from
- us by writing to:
- MODERN MICROCOMPUTERS
- 63 Sudbury Lane
- Westbury, New York 11590
-
- or by calling: (516) 333-9178
-
- There is no charge for the registration form. Even if you do not decide to
- send in the $20.00 purchase cost, you should register your copy with us. We
- only want those who find the program useful to purchase it. We appreciate
- your passing of the programs on to friends and fellow workers.
-
- MANUAL SUBJECT TO CHANGE
-
- Every effort has been made to ensure the accuracy of the contents of this
- manual and we ask that you please inform Modern Microcomputers if any errors
- are detected. The above notwithstanding, Modern Microcomputers can assume
- no responsibility for errors in this manual or for their consequences, and
- the contents of this manual are subject to change without notice.
-
-
- SYSTEM REQUIREMENTS:
-
- IBM PC/XT/AT OR IBM COMPATIBLE computer with hard disk.
- IBM PC/TX/AT OR IBM COMPATIBLE with dual flppy drives.
- MS-DOS 2.1 (PC-DOS 2.1) or higher.
- 256K RANDOM ACCESS MEMORY
-
-
-
-
-
-
-
- REGISTRATION FORM
- -----------------
-
- If you purchased MODERN MICROCOMPUTERS' BILLING directly from MODERN
- MICROCOMPUTERS in your own name, then your copy is already registered and
- you will receive all the benefits of registration. You do not need to send
- in a registration form.
-
- If you received MODERN MICROCOMPUTERS' BILLING some other way, you may
- register your copy by filling out the following form and mailing it to the
- listed address along with $20.00 + $2.00 shipping. You will promptly
- receive the latest version of MODERN MICROCOMPUTERS' BILLING with all
- recent updates and improvements. We will also place you on our update
- list so that you will automatically be notified of any changes to
- the program.
-
- Once your copy of MODERN MICROCOMPUTERS' BILLING is registered, you will be
- entitied to unlimited telephone support bye calling (516) 333-9178 during
- business hours (9:00am - 4:30pm New York time).
-
- In addition, you will be supporting software distributed under the shareware
- concept and will be contributing to the further development of MODERN
- MICROCOMPUTERS'S BILLING and other shareware products.
-
- Mail To:
-
- MODERN MICROCOMPUTERS
- 63 Sudbury Lane
- Westbury, N.Y. 11590
-
-
- NAME ______________________________________________
-
- COMPANY ___________________________________________
-
- ADDRESS ___________________________________________
-
- CITY/STATE ________________________________________
-
- ZIP ______________________________
-
-
- How did you first learn about MODERN MICROCOMPUTERS' BILLING or where did
- you first obtain a copy of MODERN MICROCOMPUTERS' BILLING?
-
- ____________________________________________________
-
- ____________________________________________________
-
- ____________________________________________________
-
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- THIS IS THE MODERN MICROCOMPUTERS PROFESSIONAL BILLING SYSTEM
-
- You have just acquired one of the finest (and most powerful) Billing
- Software Packages available for microcomputers. These programs have been
- thoroughly tested and are running every day in professional offices.
-
- Before you begin using the Software Package you should read the beginning
- sections of this manual carefully.
-
- We have discovered that most problems occur because the new user does not
- take time to read the manual and understand the philosophy of the system.
-
- Please take the time. It will prevent problems from occurring and make
- life easier for you.
-
-
-
- DISCLAIMER OF WARRANTY
-
- MODERN MICROCOMPUTERS makes no warranties with respect to the PROGRAMS,
- the sole obligation is to make available all published modifications or
- updates to all registered licensees, at the then current market price.
- There are no warranties of the suitability of the PROGRAMS or the
- suitability of the PROGRAM edit functions to any application or to any
- central processor.
-
- MODERN MICROCOMPUTERS WILL NOT BE LIABLE FOR ANY DAMAGES WHATSOEVER
- RELATING TO OR ARISING FROM THE APPLICATION OF THE PROGRAMS.
-
-
-
-
-
-
-
-
-
-
-
- The programs may be freely distributed provided that this and the
- previous three pages of the manual are not altered or deleted from the
- diskette. The programs should only be distributed along with this manual.
-
-
-
-
- T R A D E M A R K
-
- The names MODERN MICROCOMPUTERS, C.P.A. CLIENT WRITE-UP and MODERN MICRO
- COMPUTERS' BILLING are trademarks of Modern Microcomputers. References are
- made throughout this manual to the Control Program for Microprocessors,
- commonly known as CP/M. CP/M is a trademark of Digital Research of Pacific
- Grove, California.
- IBM and IBM PC are trademarks of The International Business Machine
- Corporation. MS-DOS is the copyright of Microsoft, Inc.
-
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-
-
- T A B L E O F C O N T E N T S
-
-
- I. INTRODUCTION
-
- Unpacking Notice I-1
- Getting Started I-3
- Accuracy and Good Housekeeping I-5
-
- II. NOTATIONS AND REFERENCES
-
- Basic Information for the User R-1
- Terms Used Throughout The Manual R-6
- Some Do's and Don't's R-7
-
- III. START-UP
-
- What is Expected From You S-1
- Disk Copy Routine S-2
- Entering Control Information S-3
-
- IV. SECTION A
-
- Entering Basic Information A-1
- Initializing the Master File A-3
- Entering Company Information A-5
- Transaction Codes A-6
- Entering Transaction Codes A-9
- Transaction Code Listing A-12
-
- V. SECTION B
-
- Entering Client Information B-1
- The Sorting Key B-2
- The Clients B-3
- Listing Client Information B-11
- The Past Due Report B-13
-
- VI. SECTION C
-
- Starting a New Transaction File C-1
- Transaction Services Menu C-2
- Automatic Transaction Entries C-3
- Individual Transaction Entries C-6
- On-The-Fly Transaction Code Creation C-8
- Entry Transaction Report C-10
- Entering Credits C-11
- Transaction File Report C-12
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- MODERN MICROCOMPUTERS - PROFESSIONAL BILLING SYSTEM
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-
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- VII. SECTION D
-
- Accounts Receivable Report D-1
- Transaction Code Report D-2
- Backing Up The Data D-4
- Viewing The Statements D-5
- Printing Statements D-8
- Sample Statement D-10
- Recent Billing Report D-11
- Updating The Records D-12
- Viewing Customer Data D-13
-
-
-
-
-
- VIII. SUMMARY OF MENUS
-
- Master Menu M-1
- Transaction Services Menu M-2
- Customer Account Maintenance Menu M-3
- Control File Maintenance Menu M-4
-
- IX. INDEX
-
-
-
-
- SYSTEM REQUIREMENTS:
-
- DUAL DRIVE SYSTEM, 300+ K Storage Each or SINGLE DRIVE
- SYSTEM with Hard Disk.
-
- MODERN MICROCOMPUTERS will supply the programs as stand-alone
- programs which do not require that the user have any
- form of Basic language provided that MS-DOS 2.11
- or PC-DOS 2.11 (or later versions) are available.
-
- RANDOM ACCESS MEMORY (RAM) 256 K MINIMUM.
-
-
- MODERN MICROCOMPUTERS
- 63 SUDBURY LANE
- WESTBURY, NEW YORK 11590
-
- (516) 333-9178
-
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- MODERN MICROCOMPUTERS Introduction
-
-
- * * * PLEASE READ * * *
-
- I M P O R T A N T U N P A C K I N G N O T I C E
-
-
- DO NOT TOUCH or otherwise contaminate the brown magnetic surface of the
-
- diskette supplied with the Manual.
-
-
- DO NOT REMOVE the write-protect tab from the diskette.
-
-
- Handle the diskette only by its outer envelope. Anytime a disk is not
-
- in use in the computer it should be in its outer envelope. Do not allow
-
- diskettes to contact the surface of the desk or the floor. The capability of
-
- your computer to perform the billing functions described in the Manual is
-
- contained on the MASTER diskette.
-
- Contamination risks destruction of the contents and thereby renders the
-
- system useless.
-
-
- * * * IMPORTANT * * *
-
- The diskette supplied with this Manual is NEVER to be used for the
-
- actual billing functions. It must be retained unused as backup permanent
-
- reference copies only. The contents must be copied onto User diskette as
-
- described in the Manual.
-
- If you are running a Hard Disk System, boot your system and then type A:
- in order to get the A> prompt. Put the supplied Master disk into Drive A
- and type MODERN followed by depressing the RETURN key.
-
- A sub-directory called BILLING will be created on the hard disk along
- with a batch file in the hard disk root directory. In order to run the
- programs simply type BILLING at the C> prompt.
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- Professional Billing Manual Page I-1
-
-
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- MODERN MICROCOMPUTERS Introduction
-
-
- PROFESSIONAL BILLING SYSTEM
-
- THE BILLING SYSTEM IS POWERFUL
-
- The billing system is an automated client billing and accounts receivable
- system that makes use of your microcomputer. The system utilizes the most
- up-to-date programming features and optimizes the capability of your micro
- computer both with regard to speed and information storage.
-
- THE BILLING SYSTEM IS A TIME-SAVER
-
- You will be able to reduce the time now required for billing your clients
- by a factor of about 50% in most cases.
-
- The use of transaction codes, which you customize for your company,
- allows you to type the three-digit transaction code and automatically create
- a description of up to four lines to explain a transaction which will then
- appear on the client's statement or invoice.
-
- You can also associate a transaction code with a client and have the
- computer automatically do the billing of that client for you. You will find
- this feature extremely useful for those clients who are repetitively billed
- each transaction period.
-
- You can assign the automatically billed clients to billing cycles. This
- will allow you to bill some clients more often than others. You can create
- up to eight billing cycles.
-
- While manually billing clients you can create new transaction codes 'On-
- The-Fly' in the event that you must indicate a description for which there
- is no present transaction code.
-
- THE BILLING SYSTEM IS INFORMATIVE
-
- You will have complete information at hand about any or all of your
- clients with regard to amount billed for the year and amount outstanding at
- any time.
-
- You will be able to determine your total billing for the year by
- transaction code and/or client. You will know how much you billed each
- client as well as how much was billed in each transaction code category.
-
- You will always know your outstanding accounts receivables. Daily,
- monthly and yearly reports are quickly produced either in printed form or
- for on-screen viewing.
-
- THE BILLING SYSTEM IS VERSATILE
-
- You will be able to produce statements on 8-1/2" by 11" paper either
- blank or letterhead as well as on 8-1/2" by 7" blank or pre-printed state
- ment forms. It is also possible to produce the bills on continuous run 3" x
- 5" cards. Labels can be produced for mailing purposes.
-
- You will be able to change information on the statements to keep your
- clients up-to-date about your company.
-
-
-
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- Professional Billing Manual Page I-2
-
-
-
- MODERN MICROCOMPUTERS Introduction
-
-
- GETTING STARTED
-
- Here is a brief summary of the steps necessary to get your Billing System
- "up and running". The following is NOT INTENDED to be a substitute for
- reading this entire Manual, but it should give you an idea of what is
- involved:
-
- Step 1 - Connect up all the equipment and turn on the computer. Refer to
- your computer and printer manuals.
-
- Step 2 - Make duplicate copies of the diskette supplied with the Manual.
- Never use the original in day-to-day work. It must be retained as
- permanent, unused reference copy.
-
- Step 3 - Gather together in a logical manner the names, addresses, phone
- numbers and outstanding balances for all your clients. You may
- want to enter them alphabetically or by some other category. You
- should also determine a sorting code to be used with each client.
- The code should be made up of two letters and one number.
- A sorting routine will allow you to sort the clients by use of this
- sorting code.
-
- Step 4 - Determine which clients will be billed on an automatic basis. You
- should then decide into which billing cycle the client should be
- placed. You might want to set up a billing cycle for those billed
- monthly and another cycle for those billed quarterly. You can have
- up to eight billing cycles.
-
- Step 5 - Determine the types of comments you want on the statements with
- regard to the individual billed amounts. Things such as:
-
- Monthly maintenance $ 100.00
-
- Consulting time 40.00
-
- Tax Preparation of your
- Federal and New York State
- returns. 200.00
-
- You can have up to four lines of descriptive information about
- each billed transaction. Also determine how you want to indicate
- that a payment has been received. You may want more than one form
- of 'Thank You'.
-
- Payment received. Thank you.
-
- Your payment is being credited.
-
- Thank you for your partial payment.
- The balance is now due and payable.
-
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- Professional Billing Manual Page I-3
-
-
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- MODERN MICROCOMPUTERS Introduction
-
-
- Step 6 - Decide on a three-digit code for each of the transaction types
- listed in Step 5. Try to make them easy to remember. For example:
-
- MM1 Monthly Maintenance $ 100.00
-
- PIF Payment in full has
- been received. Thank you
-
- PAR Partial payment has been
- received. Balance is now
- due.
-
- Since you can print a billing report based on transaction codes it
- is possible to keep track of each transaction billing by office
- employee. You can use the three-digit code to identify not only
- the type of transaction, but, in addition, who performed the
- action. For example, you might use the following two codes:
-
- TP1 Tax preparation
-
- TP2 Tax preparation
-
- The code TP1 could be used for all clients who had tax preparation
- work done by the first partner and TP2 for work done by the second
- partner of your company. The statement will read the same in both
- cases but you can print, for your own use, the billings by trans
- action codes. This will show you how much was billed for
- each partner.
-
- Keep this technique in mind when setting up your transaction codes.
-
- Step 7 - Determine which clients receive the same statement each transaction
- period. You will then associate a transaction code with that
- client when entering the client information. These clients can be
- billed automatically without worry about accuracy or having missed
- one. Decide into which billing cycle you want each automatically
- billed client to appear. You can use up to eight billing cycles.
- For example, those billed daily might be cycle 1, those weekly,
- cycle 2, those monthly would be in cycle 3, those quarterly could
- be in cycle 4, etc. Refer back to step 4.
-
- Step 8 - Determine what kind of information you want included on the state
- ment. You will have the opportunity to change this information
- from time to time. Please see the sample statement on page D-8.
- Also see page A-4.
-
- Step 9 - Enter your company information, the client information and the
- transaction codes into the computer. Check the information by
- reviewing on the screen or getting a paper copy printout. Make any
- corrections to the entered information using the correction
- routines.
-
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- Professional Billing Manual Page I-4
-
-
-
- MODERN MICROCOMPUTERS Introduction
-
-
- FINALLY, MAKE SURE YOU THINK THROUGH THE NEXT STEP CAREFULLY
-
- Step 10- Decide on some way to prepare the various billing transactions for
- entry into the computer. You may find that preparing a simple
- input sheet similar to the one you are now using will do fine. You
- may find that you want to adjust that input sheet to better fit
- this system. Whatever procedure you decide upon make sure you use
- it faithfully. The computer can only do the automatic billing for
- you. You must enter any other billing information by individual
- client. If you forget to enter something, there is no way in the
- world that the computer will be able to know that you FORGOT.
-
- Set up an input system and stick with it. If the system does not
- work properly, don't be afraid to change it to one that does.
-
- With all the information entered you will be able to do your billings
- daily, weekly, once a transaction period, or when you find it most
- convenient.
-
- You may want some reports daily, some weekly and some only at the end of
- the transaction period. The choice is yours. See the sample reports listed
- in the following sections.
-
-
- ACCURACY AND GOOD HOUSEKEEPING
-
- In general, the billing function consists of three important aspects, the
- entry of billable transactions into the computer, the production of reports
- on a daily, weekly or transaction period basis and the production of the
- statements at the end of the transaction period. When using an automated
- billing system such as this one in an office environment it is just as
- important to have your paperwork organized as it is to have the system
- itself.
-
- Among those techniques useful in organizing data are proper source docu
- ment filing procedures, the dating of documents, and the proper preservation
- of duplicate transaction period data diskettes.
-
- If your data is well-organized, this system can increase the throughput
- of your billing and statement preparation by about 100% over manual systems.
- The operator can be confident that the data can be entered rapidly and effi
- ciently, and that the totals are exact. The company executive in charge of
- the billing function can be confident that he can provide his clients with
- proper information regarding their accounts as well as providing for his
- company all necessary accounts receivable reports.
-
- This confidence is a secret of success in business.
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- Professional Billing Manual Page I-5
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-
-
- MODERN MICROCOMPUTERS Notations and References
-
-
- In order to make it a little easier for the first-time user this section
- will act as a reference in case the notation used in the manual becomes
- confusing.
-
- Computers are not smart. You are smart for using a computer. Computers
- don't know what to do. Programmers, like the one who produced the software
- you are about to use, have to instruct the computer, step by step, exactly
- what to do. Most computer programs, this one included, require that the
- user interact with the computer by means of the keyboard.
-
- Keyboards vary among computers but one key must appear on all keyboards
- in some form. It is the key which must be depressed to inform the computer
- that the user has completed any specific entry. For example, suppose the
- screen asks you the following question:
-
- HOW OLD ARE YOU _
-
- Some computers will automatically place a question mark (?) after the
- word YOU. Others will not. Some will present a small dashed line just
- after the word 'YOU', others may show a blinking line, and still others may
- present you with a bright rectangle or a long bar of light to show where you
- should place your answer. Some day you may have to simply respond by voice,
- but for now, the keyboard does the job. (Oh, yes, we know there are Touch-
- Screens, Light-Pens, Joy Sticks and Mice or is it mouses?)
-
- To respond to the above question simply type your age, 21, by depressing
- the number '2' key and then depressing the number '1' key. It makes no
- difference if you use the row of keys at the top of the keyboard or the
- keypad of number keys at the side. Some keyboards don't have the upper row,
- some don't have the keypad but all must have some way to type in numbers.
- If you can't figure it out, see your operator's manual which came with the
- computer. DON'T' USE THE LOWER CASE 'Ell' (l) FOR THE NUMBER ONE (1).
-
- Now that you have typed in the two numbers, what next? The computer
- still patiently waits. It will continue waiting until you depress one more
- key. It is identified in different ways on the keyboard. Various names are
- RETURN, ENTER, ENT, RET, CR, and on some machines, some form of an arrow.
- Again, if you are confused, see your operator's manual. Depressing this key
- informs the computer that you have completed your entry.
-
- What kind of questions will you have to answer? We have given the
- example of inputting numbers (notice the use of the computer word,
- inputting). This is just a fancy way of saying 'entering'. You can also
- enter letters of the alphabet. Some keyboards allow both upper and lower
- case letter production by using the shift key or setting a shift lock key or
- even by using a key marked 'ALTERNATE' or 'ALT'. The method is the same.
- Type your input, such as, PAYMENT and then depress the ENTER or RETURN key.
- Throughout the manual we will use the notation <CR> to indicate when you
- should depress the ENTER or RETURN key. The <CR> stands for 'carriage
- return' which is the notation that has been used since the old Key Punch
- machines were used with the first computers.
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- Professional Billing Manual Page R-1
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-
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- MODERN MICROCOMPUTERS Notations and References
-
- You can also enter various symbols but with this program you will be
- limited to such things as the plus (+) and minus signs (-), the decimal
- point (.) and the asterisk (*). Of course you DO NOT TYPE THE PARENTHESIS.
- In addition, you may want to enter the dollar sign ($). NEVER ENTER THE
- DOLLAR SIGN, it will totally confuse the machine.
-
- It is a good idea to enter only UPPER CASE letters of the alphabet when
- responding to questions such as DO YOU WANT A HARD COPY (Y or N) <Y>.
-
- Take a moment to note that you are being offered a choice of either 'YES'
- or 'NO' but you only have to type in the first letter, 'Y' or 'N'. In addi
- tion there is a letter 'Y' enclosed in brackets <Y>. This is called a 'DE
- FAULT'. It means that if you depress the ENTER or RETURN key the machine
- will understand it to mean 'YES'. This saves you a keystroke but it also
- indicates the usual answer at that point in the program. If no DEFAULT is
- shown and you simply depress the RETURN or ENTER key the program will PROMPT
- you to respond again in the correct fashion. A PROMPT is computer language
- for what appears on the screen in the form of a question or direction. One
- direction you will see many times is, Depress RETURN to continue. That is a
- prompt instructing you to depress the return key when you are ready to cont
- inue. This prompt is generally used when you are getting ready to use the
- printer. It allows the computer to stop and wait while you make sure the
- printer is on and the paper or forms are adjusted properly.
-
- When you are entering the names of clients or their addresses, it is
- permissible for you to use LOWER CASE letters such as, 'Modern Micro
- computers' rather than 'MODERN MICROCOMPUTERS' if you think that looks
- better in reports and on statements.
-
- This system is driven (another computer word) by MENUS. A menu is noth
- ing but a listing of various actions you can select to perform. In most
- cases each item has a number and you select the action by typing in (input
- ting or entering) the number you want followed by depressing the RETURN
- <CR>. Most menus also include a way to move to a different menu or to show
- additional selections.
-
- Sometimes you will select an action on a menu and find that a second, or
- SUB-MENU will appear that requires you to make another selection. For exam
- ple, you may select an item from a menu for a report. The sub-menu may give
- you the options of viewing the report on the screen or getting a HARDCOPY.
- A hardcopy (computer language) is a printout on the printer.
-
- Now some technical things. If you are familiar with your computer you
- may want to skip this section.
-
- Your computer must store information for later use. Some information is
- stored in the computer's RAM (Random Access Memory) so that it can be worked
- on very quickly. Other information is magnetically written onto some exter
- nal material. This may be a 'Floppy Disk', a 'Hard' or 'Rigid' disk, or
- magnetic tape. This externally stored information remains on the disk or
- tape until you or the program removes or overwrites it with new information.
- The information in the RAM remains only while the machine is turned on. If
- the computer goes off for some reason, that information is lost.
-
-
-
-
-
-
-
- Professional Billing Manual Page R-2
-
-
-
- MODERN MICROCOMPUTERS Notations and References
-
-
- These programs are designed to keep as little information in RAM as pos
- sible in case there is a power failure. Important information is written to
- the disk as soon as possible after entry. This is designed to protect you
- and your valuable data, but, problems can still happen if there is an inter
- ruption of electricity. You will notice the drive lights coming on and
- turning off during the process of running the programs indicating that
- information is being stored on the disks. (In most cases the Hard disk.)
-
- The data you produce using any software is extremely important. Many
- software packages require that you back up data at certain places before you
- can continue to some activity which could cause problems. The Modern Micro
- computers' Professional billing system works on this philosophy.
-
- Just before doing your monthly billing the system requests that you make
- a back-up copy onto a floppy disk which is in Drive 'A'. This disk back-up
- is quickly made and the data can be put back onto the hard drive very
- easily. Please, always make a back-up of the data when requested to do so.
- Make sure that you store the floppy disk in a safe place. Floppy disks can
- be damaged in many ways.
-
- If you are using the system running under MS-DOS or PC-DOS you must refer
- to the addendum at the end of this manual.
-
- Floppy disks come in boxes. Each disk comes in its own sleeve of paper.
- Disks should be either in the drive of your computer or in its sleeve in its
- box.
-
- When you get a new box of disks you don't know where they were before you
- received them. They may have been stored near some electric motor, left
- near a running engine in a truck or automobile, placed under a big air
- conditioning unit or in a box which passed through a metal detector in an
- airport. Anytime the disk is exposed to magnetic fields there is a
- possibility that the surface of the disk (the magnetic material on the disk)
- has become magnetized. This stray magnetism must be removed. Computer
- users refer to this procedure as FORMATTING the disk. Actually each machine
- does this slightly differently and while the procedure takes place the
- computer writes (magnetically, of course) onto the disk information it might
- need later on. This information is generally called a DIRECTORY or CONTROL
- TRACKS. You don't have to know what this information is or why it is there.
- What you must understand is that it must be there.
-
- Every new disk must be FORMATTED before it can be used in the computer to
- store information. The formatting process usually takes from one to three
- minutes. Again, each machine does it differently. Your operator's manual
- will explain how you must do it.
-
-
-
-
-
-
-
-
-
-
-
-
-
-
- Professional Billing Manual Page R-3
-
-
-
- MODERN MICROCOMPUTERS Notations and References
-
- The programs which run the computer are encoded (the word 'encoded' is
- computer language to mean that they are stored in magnetic form) on a MASTER
- DISK which was supplied with this manual. You should make at least two
- backup copies of this disk. Use ONLY a backup copy in your everyday work.
- NEVER USE THE ORIGINAL DISK to run the system directly. The ORIGINAL DISK
- should be stored away for safe keeping and if anything ever happens to the
- copy you are using in your daily work the ORIGINAL DISK can be used to
- produce another working copy.
-
- With every box of disks come labels. Get yourself some felt tip pens.
- Make sure that you clearly put on the label the information about what is on
- the disk. DO THIS BEFORE PUTTING THE LABEL ON THE DISK. NEVER WRITE ON THE
- LABEL WHILE IT IS ON THE DISK. NEVER WRITE ON THE SLEEVE OF THE DISK WHILE
- THE DISK IS IN THE SLEEVE. USING A BALL POINT PEN TO WRITE DIRECTLY ON A
- DISK IS A SURE WAY TO DESTROY THE DISK.
-
- OK, now on to the programs. What exactly will you be doing?
-
-
-
-
-
-
-
-
-
-
-
-
-
-
-
-
-
-
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-
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-
-
-
-
- Professional Billing Manual Page R-4
-
-
-
- MODERN MICROCOMPUTERS Notations and References
-
-
- This series of programs allows you to keep track of your clients with
- regard to billing and payment of bills. Each client will be given a number
- by the computer beginning with 101. You can choose to use that number or
- substitute an alternate identification code. You can use up to eight char
- acters for the identification code. As an example, you might use JONES to
- represent the Jones and Smith Metal Casting Co. Using unique codes may be
- easier than using numbers. The choice is yours and you may use numbers for
- some clients and unique codes for others. You can have up to 500 clients on
- the system at one time. You can change information about the client such as
- name, address and phone number. You can add new clients at any time. You
- can print out or view the entire client list showing balances and/or show
- only one client if you so desire. YOU CANNOT, HOWEVER, CHANGE THE IDENTIFI
- CATION CODE FOR A CLIENT. ONCE USED, IT IS ALWAYS ASSIGNED TO THAT CLIENT.
- EVEN IF YOU DELETE THE CLIENT, THAT CODE CANNOT BE USED FOR ANOTHER CLIENT.
-
- In order to enter information quickly during the billing cycle you will
- use TRANSACTION codes which are three-character abbreviations such as, MON,
- which you might want to stand for MONTHLY BILLING. Each transaction code
- will have an associated description and unit cost. As an example,
-
- MAF Monthly billing for
- accounting and production
- of financial reports. $ 100.00
-
- When billing your client you simply input MAF and the other information
- will automatically appear on his statement. This saves time in typing. At
- the time you are doing the entry of billing information, the machine will
- show you what will appear and you can then decide if you want to change the
- money amount. The associated money amount is the UNIT COST. If you are
- billing for three hours of consulting time you would input the transaction
- code for that item, such as CON and, when prompted, input 3 as the quantity.
- The machine will multiply the unit amount by 3.
-
- You can also associate a transaction code with a customer so that you can
- do automatic billing rather than have to input each client each billing
- period. You might associate MAF with a number of your clients, another
- code, such as MAG with another group of clients and still other codes with
- other clients. You then can place the clients into any one of eight billing
- cycles. The cycles can represent any periods you so desire. For instance,
- some clients might be billed monthly, others quarterly and still others
- every six months. Cycle 1 could represent those billed monthly, cycle 2,
- those billed quarterly and cycle 3 could be used for those bill every six
- months.
-
- At the time you decide to prepare the statements, you indicate (using the
- menu choices) that you want automatic billing and the machine will ask you
- to enter the number of the billing cycle. The machine will then form a
- transaction record for each of the clients with whom you have associated a
- transaction code and who are in that specific billing cycle. You can then
- elect to bill those clients in a second billing cycle. Monthly you might
- bill cycle 1 only. Quarterly you would bill both cycle 1 and cycle 2.
- Every six months you would bill cycles 1, 2 and 3. This should save you a
- considerable amount of time if many of your clients have a regular amount
- which is billed periodically.
-
-
-
-
-
- Professional Billing Manual Page R-5
-
-
-
- MODERN MICROCOMPUTERS Notations and References
-
- The system allows you to automatically bill those clients in a specific
- cycle only ONCE during a billing period to prevent you from accidentally
- billing the client automatically twice. You can, of course, add other
- things to his bill by using the option to individually create transactions
- using the proper menu choice.
-
- As you enter transactions you can have the machine print a record of what
- you are entering. At any time you can print or view the entire billing
- period transaction listing. You can delete or change a transaction at any
- time before you update (add the new information to the existing information
- which is presently stored) the permanent records.
-
- You will have to select the transaction codes you want to use. Make them
- meaningful for yourself so that you don't have to keep referring to the
- printed copy. As you use the system you will discover that you learn the
- codes very quickly.
-
- At the end of the billing period you can print the client's statements
- and labels to go on the envelopes. You can use either a printed form for
- the statements (available from many forms suppliers) or ordinary length
- white paper. You can also use your letterheads either one by one or in a
- continuous fan fold paper arrangement. You can have continuous letterheads
- printed by many forms suppliers.
-
- All the necessary reports that you need will be generated and at year's
- end the system will give you a yearly report showing how much you billed
- each client and any outstanding money for that client. The system will then
- re-set itself for a new year.
-
- SOME LAST NOTES:
-
- <CR> means depress the RETURN or ENTER key.
-
- <Y> or <N> means that depressing the RETURN or ENTER key will cause the
- machine to default to the value in the < >.
-
- Things outlined in ********* refer to what you will see on the screen.
- * *
- * *
- * *
- *********
-
-
- BOLD PRINT shows what you should respond.
-
- TERMS USED THROUGHOUT THE MANUAL
-
- BACKUP means to make a copy of a disk.
-
- DEFAULT means the machine will assume the answer which is shown in the
- < > notation.
-
-
-
-
-
-
-
-
-
- Professional Billing Manual Page R-6
-
-
-
- MODERN MICROCOMPUTERS Notations and References
-
-
- DISK or DISKETTE refers to the storage medium. Diskettes are of various
- types and you must be sure that you have the proper type for your
- computer. Refer to your computer manual if you are in doubt. The
- minifloppy diskette is a 5-1/4" diameter flexible magnetic mylar disk
- made to store approximately 360,000 characters of data. It rotates
- inside the disk drive at 300 rotations per minute. Like high-grade
- audio recording tape, it is highly sensitive to grease, dirt, heat,
- creasing, scratches, fingerprints and smoke. The diskette is stored in
- a lubricated envelope so that it can be handled by the edges without
- damaging the magnetic surface, which is visible through various
- openings in the envelope.
-
- * * * W A R N I N G * * *
- DO NOT TOUCH OR OTHERWISE CONTAMINATE ANY DISKETTE. TO DO SO IS
- TO RISK LOSS OF ALL OR PART OF THE DATA STORED ON IT.
-
- DRIVE refers to the place where the diskette is held in the computer or an
- internal area of the computer which holds a rigid disk for data
- storage.
-
- ERROR MESSAGES refers to information which shows up on the screen to inform
- you of some problem. Most of these messages are generated because you
- have forgotten to do something such as closing a drive door or not
- turning on the printer.
-
- FORMAT means to clear off stray magnetism from a new disk.
-
- HARDCOPY or PRINTOUT means a printout on the printer. In some cases you
- will be offered the option to either view the information on the screen
- or to print it on the printer.
-
- PROMPT means the question or direction that the computer produces when it
- wants you to respond. The prompt often contains a default such as <Y>.
- Depressing the RETURN or ENTER key will indicate to the computer that
- you want the default value, Y for Yes. Sometimes you will be requested
- simply to 'Depress RETURN to continue'.
-
- TRANSACTION CODE is a three-digit code which represents a transaction which
- is to appear on the statement for the client. The three digits can
- represent up to four lines of description on the statement along with a
- unit cost for that transaction.
-
- TRANSACTION PERIOD is the length of time between sending statements. You
- decide how long it should be. Most companies will send statements
- monthly.
- SOME DOs AND DON'Ts
-
- DON'T turn on a computer with disks in the drives. (NEVER, NEVER)
- DON'T turn off a computer with disks in the drives. (NEVER, NEVER)
- Diskettes and computers DON'T like cigarette smoke.
- DO use meaningful transaction codes which will be easy to remember.
- DO take time to decide which clients will have transaction codes
- associated and when they will be automatically billed.
-
-
-
-
-
-
- Professional Billing Manual Page R-7
-
-
-
- MODERN MICROCOMPUTERS Start-Up
-
- If you are using an IBM machine with PC-DOS or an IBM compatible machine
- with MS-DOS, you should refer to the ADDENDUM and then read over the
- following information but use your computer manual for the correct way to do
- each of the following steps. Your DOS boot disk contains the necessary
- utility programs.
-
- It is expected that the user of MODERN BILLING SYSTEM will have read over
- the operating Manual which came with your computer. Different machines
- require a different sequence of actions in order to start the computer. One
- point which is often overlooked in the computer Manuals is the fact that no
- computer should ever be turned on or off while there is a disk in one of the
- drives.
-
- Make sure that you are set to enter all information in UPPER CASE. It is
- also advisable to lock the keypad for numbers. Refer to your operator's
- Manual if you are uncertain on how to do this.
-
- In order to make the duplicate copy of the MASTER Diskette you will use
- the DISKCOPY routine which was supplied on your original DOS diskette.
-
- You will be making a copy of the disk in Drive 'A' onto a formatted
- disk which will also eventually be put into Drive 'A'.
-
- First, with the DOS disk in Drive 'A' and depress the CONTROL key and
- the C key at the same time. Now type the letter A followed by a colon and
- depress the RETURN key. The A:> prompt will appear. Now type the single
- word DISKCOPY and depress the RETURN key. Follow the directions as they
- appear on the screen. You will have to remove the DOS disk and replace it
- with the MASTER disk supplied with this manual. After you depress the
- RETURN key the information will be read from the disk and stored in memory.
- At the appropriate place you will be asked to replace the disk in Drive 'A'
- with the 'TARGET' disk which is the disk that will hold the copy. If you
- have trouble, please refer to your system manual.
-
- Depending on how much memory you have this routine may repeat itself.
-
- At the appearance of the prompt 'Copy another disk (Y/N) ?' you should
- remove the disk from Drive 'A' and place a label on it indicating that it is
- a COPY of the MASTER disk.
-
- Refer to page I-1 at the front of this manual for directions on how to
- load the programs onto your hard disk.
-
- Put the original MASTER disk and the copy just made in a safe place. You
- will not use them while running the programs.
-
- At one point while running the programs you will be asked to make a back
- up copy of your transaction and customer files. These will be located on
- the disk in Drive 'C'. The copy will be made to a formatted disk in Drive
- 'A'.
-
- Once the programs are loaded on the hard disk you should get to the root
- directory of your hard drive. You can do this from any place by simply
- typing CD\ and depressing the RETURN key. The sign \ is called a back-
- slash. Now type C: and again depress the RETURN key. You should get the
- C:> prompt.
-
- Now type the word BILLING and depress the RETURN key.
-
-
- Professional Billing Manual Page S-1
-
-
-
- MODERN MICROCOMPUTERS Entering Control Information
-
-
-
- ************************************************************************
- * *
- * MODERN MICROCOMPUTERS - PROFESSIONAL BILLING *
- * *
- * *
- * *
- * *
- * *
- * *
- * *
- * *
- * Enter today's date (MMDDYY) 040189 <CR> *
- * *
- * *
- You are requested to enter the date. All dates are entered in the format
- shown, that is, MMDDYY, Month Day Year.
-
- This date will appear on a number of screens with the request that you
- verify that it is the date to use. Anytime this request appears you will
- have the opportunity to change the date.
-
- The next thing to decide is where the programs and the data will be
- located. Normally both will be in the same sub-directory or on the same
- disk. With a hard disk system you could have the data kept on Drive A if
- you so desire. This might make it easier to make back-up copies.
-
- It is also possible to run the software using a single drive machine by
- indicating that you want both the programs and the data on drive A.
-
-
- *************************************************************************
- * *
- * On which drive will the programs be located (A - D) C <CR> *
- * On which drive will the data be located (A - D) C <CR> *
- * *
-
- In this case we will indicate that both the programs and data should be
- on drive C. This places the data in the same sub-directory (the BILLING
- sub-directory) as the programs. This is the usually the most convenient way
- of running the software.
-
-
-
-
-
-
-
-
-
-
-
-
-
-
-
-
-
-
- Professional Billing Manual Page S-2
-
-
-
- MODERN MICROCOMPUTERS Entering Control Information
-
-
- The next thing is a code word. Pick one you can remember. The code word
- is not designed to lock out anyone but rather to make you stop and think at
- certain points so that you don't accidentally erase data before you have all
- your reports. Enter the code word and <CR>. In our examples we will use
- the code word DOG.
-
- * *
- * *
- * You may now enter a CODE WORD to be used at certain places *
- * in the programs. Please make a record of the word so that *
- * you will not forget it. Please enter the code word DOG <CR> *
- * *
- * *
-
- The only time that you will see the preceeding questions and be required
- to answer them is the very first time you use the system.
-
- Once this basic information is recorded you will not have to re-enter it.
-
- In the event that you ever want to change the code word simply following
- the steps listed below.
-
- 1. Boot the system and get to the C:> prompt.
- 2. Type CD BILLING to move to the sub-directory.
- 3. Type DIR FORM and depress the RETURN key. Information about a file
- called FORM will appear. The file contains the information
- concerning the code word and the instructions on how the printer is
- to move the paper to to top of the next form.
- 5. Type the words ERASE FORM and depress the RETURN key.
- 6. Type the word MENU and depress the RETURN key.
-
- With the basic information entered you will be greeted into the program
- menus.
-
-
- *************************************************************************
- * *
- * MODERN MICROCOMPUTERS *
- * PROFESSIONAL BILLING SYSTEM *
- * *
- * MODBILL? VERSION *
- * SEPT 1989 *
- * *
- * Today's date is 04/01/89 Is this O.K. to use (Y or N) <Y> <CR> *
- * *
- * *
-
- Just a quick reminder. When you see a reply bracketed with < > it means
- that simply depressing the RETURN key will make that selection. In the
- screen above, depressing the RETURN key makes the selection 'Y" to indicate
- that the answer should be, YES.
-
-
-
-
-
-
-
-
- Professional Billing Manual Page S-3
-
-
-
- MODERN MICROCOMPUTERS Entering Basic Information
-
- You will now see the first of a number of menu screens. We refer to this
- one as the MASTER MENU or MASTER SELECTOR.
-
-
- *************************************************************************
- * *
- * In which area would you like to work? *
- * *
- * 1 - TRANSACTION FILE SERVICES *
- * Enter/View/Print/Change Transactions *
- * *
- * 2 - CUSTOMER FILE SERVICES *
- * Setup/Change Customer Account Information *
- * *
- * 3 - ACCOUNTS RECEIVABLE AND TRANSACTION CODE REPORT *
- * *
- * 4 - INVOICE/STATEMENT PRINTING - RECORD UPDATING *
- * *
- * 5 - REPORT ON MOST RECENT BILLING *
- * *
- * 6 - PRINT LABELS *
- * *
- * 7 - CONTROL FILE SERVICES *
- * Setup/Change Statement Information *
- * Setup/Change Transaction Codes *
- * *
- * 0 - TO EXIT SYSTEM *
- * *
- * Enter your choice by NUMBER (0 - 7) _ *
- * *
- *************************************************************************
-
- The entire system is driven by menu screens. You will generally have to
- answer with a number or in some cases with a letter such as, Y or N to repre
- sent YES or NO. If you see <Y> or <N> at the end of a question on the screen
- it means that depressing the ENTER or RETURN key will cause that selection.
- You could, of course, enter the Y even if <Y> was showing but the <CR> default
- will save some time. Remember we use <CR> as the notation to indicate that
- you should depress the ENTER or RETURN key.
-
- Before we go on let us take a quick look at the basic procedure which you
- will follow now and then the procedure you will follow during and at the end
- of the billing cycle.
-
- You will now have to enter:
-
- 1. Your company information which will appear on reports,
- invoices, and statements.
-
- 2. The various transaction codes you intend to use along with
- their descriptions and money values.
-
-
-
-
-
-
-
-
-
- Professional Billing Manual Page A-1
-
-
-
- MODERN MICROCOMPUTERS Entering Basic Information
-
-
- 3. Some information which you can have appear on the statements if
- you wish.
-
- 4. The client information including any outstanding balances, any
- associated transaction codes for those clients you want to bill
- automatically, and, the billing cycle for each client you want
- automatically billed. Each client must be given a sorting code.
-
- Since the first step is to enter the company information, you will select
- Option 7 from the menu. In order to do this type 7 <CR> at this point and you
- will start by putting in the company information. Remember that <CR> means to
- depress the ENTER or RETURN key.
-
- The screen will clear and present a new menu, the CONTROL FILE MAINTENANCE
- MENU. You will not use it very often unless you want to change the informa
- tion to appear on the statements or add new transaction codes.
-
-
- *************************************************************************
- * *
- * CONTROL FILE MAINTENANCE MENU *
- * *
- * You may now: *
- * *
- * 61 - INITIALIZE MASTER FILE *
- * *
- * 62 - CHANGE STATEMENT HEADER INFORMATION *
- * *
- * 63 - SET UP OR ADD NEW TRANSACTION CODES *
- * *
- * 64 - CHANGE A TRANSACTION CODE *
- * *
- * 65 - LIST THE TRANSACTION CODES *
- * *
- * 66 - RETURN TO MASTER MENU *
- * *
- * *
- * Enter your CHOICE by NUMBER (61-68) 61 <CR> *
- * *
- *************************************************************************
-
- The above screen shows the entire menu. The first time you run the
- programs you will only see choices 61 and 66. Since you have not yet entered
- any information, the other choices do not yet appear.
-
- The computer holds information in a number of files. The Master File holds
- the company information as well as a series of transaction codes which are
- used while entering data.
-
- Type 61 <CR> since you want to INITIALIZE THE MASTER FILE. You will ONLY
- do this ONCE because this clears the information from the file and causes you
- to START OVER.
-
-
-
-
-
-
-
- Professional Billing Manual Page A-2
-
-
-
- MODERN MICROCOMPUTERS Entering Basic Information
-
-
- The screen will clear and you will be asked to verify that this is the
- action you would like to take. At various times while running the program you
- will have to verify your answer or choice. This is to prevent you from
- accidentally deleting data.
-
- *************************************************************************
- * *
- * INITIALIZATION OF MASTER FILE *
- * *
- * This clears all information from the master file. *
- * *
- * Are you SURE that's what you want to do (Y or N) <N> Y <CR> *
- * *
- * *
-
- Type Y <CR>. You will note that the default is N for NO if you simply use
- the <CR> as a response. You don't want the default since you do want to clear
- out this file. IN ALL PROBABILITY YOU WILL NEVER DO THIS AGAIN.
-
- * *
- * Please enter the code word at this time DOG <CR> *
- * *
- * *
-
- Note: One more protection to keep you from losing information. Type in
- your code word, we use DOG and <CR>.
-
- The machine now has the files established on the disk and you are ready to
- enter the information about our company. You will set up an accounting firm,
- A. and B. Accounting Co., run by Mr. Able and Mr. Baker. They are involved
- with accounting and tax work.
-
-
- NOTE: There may have been some changes made to the manual since it was
- printed. PLEASE READ THE ADDENDUM for any new information.
-
-
-
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-
-
- Professional Billing Manual Page A-3
-
-
-
- MODERN MICROCOMPUTERS Entering Basic Information
-
-
- Before we go on let's take a look at the top of a typical statement. Note
- that there are four lines of comments opposite the client's name and address.
- You can change these lines at any time or leave them blank. There is also a
- longer comment line which you can change or leave blank whenever you desire.
-
-
- ------------------------------------------------------------------------------
- A. AND B. ACCOUNTING CO. STATEMENT
- 63 SUDBURY LANE 20
- WESTBURY, NEW YORK 11590
- (516) 333-9178 05/15/88
-
- TO: ACCOUNT IDENT. 120
-
- MARTINE AND FRANKLIN, INC. WE VALUE YOUR BUSINESS AND
- MR. J. W. MARTINE STAND READY TO HELP WHENEVER
- 20020 LONG AVENUE WE CAN. DON'T HESITATE TO CALL
- HICKSVILLE, NEW YORK 11581 US WHEN TROUBLE APPEARS.
-
- QUALITY - ACCURACY - PRIDE: WE HOLD THESE VALUES VERY HIGHLY.
-
-
-
- DATE DESCRIPTION CHARGE CREDIT BALANCE
-
- ------------------------------------------------------------------------------
-
- In addition to being asked about our company you will also be asked for the
- four lines of comments to appear opposite the client information. You can
- change these comments any time you want by using Option number 2 on the
- CONTROL FILE MAINTENANCE MENU. Each line can be up to 32 characters long.
- You might find this helpful to advise your clients of any changes of company
- policy or for season's greetings at the end of the year. You can, of course,
- simply leave them blank if you wish.
-
- You are going to use four lines shown above in our examples but you can
- choose to use others or none at all.
-
- Finally, you will be asked for the comment which appears in the center of
- the statement. In our example it reads QUALITY - ACCURACY - PRIDE: etc.
- Since it sounds good, you will use it in our examples. You can, of course,
- use any comment you feel appropriate and you can change it at any time. You
- might even like to use a row of '======' double dashes.
-
- To help illustrate the entry of information we will represent what your
- response should be in BOLD letters. You will note that the responses in most
- cases are limited to a certain number of characters. If you try to enter too
- much the machine will reject your entry and request that you re-enter it in
- the proper fashion.
-
- Remember to end each of your entries by depressing the ENTER or RETURN key.
- We use the <CR> notation. Note also that you are limited in the length of the
- permitted entry. The limit will be shown as (32 Chr. Max) or (14 Chr. Max).
- Please do not exceed the limit indicated.
-
-
-
-
-
- Professional Billing Manual Page A-4
-
-
-
- MODERN MICROCOMPUTERS Entering Basic Information
-
-
- ****************************************************************************
- * *
- * Maximum of 32 Characters
- * -------------------------------- *
- * ENTER COMPANY NAME (32 Chr. Max) A. AND B. ACCOUNTING CO <CR> *
- * ENTER STREET ADDRESS (32 Chr. Max) 63 SUDBURY LANE <CR> *
- * ENTER CITY, STATE, ZIP (32 Chr. Max) WESTBURY, NEW YORK 11590 <CR> *
- * *
- * *
- * 14 Chr. Max. *
- * -------------- *
- * ENTER PHONE NUMBER (14 Chr. Max) (516) 333-9178 <CR> *
- * *
-
- This completes the information for the top of the statements. If you are
- planning to use pre-printed forms which have your company information
- included, then, instead of entering the information at this time, simply tap
- the space bar three times before depressing the RETURN key for each answer.
- When the bills print, the space which would normally contain your company
- information will be left blank.
-
- ****************************************************************************
- * *
- * You can enter up to four lines of comments to *
- * appear on the statement form. Each comment can *
- * be a maximum of 32 characters in length. If *
- * you wish to include comments, enter them now. *
- * If not, simply depress RETURN. *
- * *
- * *
- * Maximum of 32 Characters *
- * -------------------------------- *
- * ENTER COMMENT 1 WE VALUE YOUR BUSINESS AND <CR> *
- * ENTER COMMENT 2 STAND READY TO HELP WHENEVER <CR> *
- * ENTER COMMENT 3 WE CAN. DON'T HESITATE TO CALL <CR> *
- * ENTER COMMENT 4 US WHEN TROUBLE APPEARS. <CR> *
- * *
- * Enter a comment for the CENTER of STATEMENT (Max 72 Characters). *
- * If you wish to leave it blank, type a '*' *
- * -------------------------------------------------------------------- *
- * QUALITY - ACCURACY - PRIDE: WE HOLD THESE VALUES VERY HIGHLY. <CR> *
- * *
- ****************************************************************************
-
- When you have entered the company information, the four short comments and
- the longer comment which appears in the center of the statement, the screen
- will clear and return you to the full CONTROL FILE MAINTENANCE MENU
-
- You will now have the opportunity to enter the transaction codes which we
- plan to use while entering data.
-
-
-
-
-
-
-
-
-
- Professional Billing Manual Page A-5
-
-
-
- MODERN MICROCOMPUTERS Transaction codes
-
-
- The heart of the system centers around TRANSACTION CODES. In order to
- speed up entry of information you must set up these codes at this time. What
- exactly is a Transaction Code?
-
- It is a three (3) character code representing a TYPE of transaction. For
- example, you might want the following billing explanation to appear on an
- invoice or statement.
-
- CONSULTING TIME IN YOUR OFFICE $ 80.00
-
- You could use as a code, CIY. During the entry of information you will be
- asked for the Transaction code. You input CIY and the computer will auto
- matically know you want that billing explanation to appear.
-
- Suppose you also want as a transaction, the following on some statements.
-
- CONSULTING TIME IN OUR OFFICE $ 80.00
-
- You might choose to use CIO. Now during entry of information you would
- enter CIO and the machine will automatically know you want this alternate
- billing explanation to appear.
-
- You will note that the two transaction codes shown are both one line
- billing explanations. The system does not limit you to one line but rather
- allows up to four lines of 32 characters each.
-
- STANDARD MAINTENANCE PERFORMED
- ON YOUR RENTAL EQUIPMENT AS
- OUTLINED IN MANUFACTURER'S
- MANUAL. TO BE DONE QUARTERLY. $ 250.00
-
- You could use a code such as STQ for this one.
-
- When you select the codes to be used you will be asked for an associated
- money value. This value can be changed during the transaction entry phase of
- the work as you will see later when that phase is explained. We suggest that
- you put in the value most commonly used with that billing explanation. Some
- users of the system will do the following to help speed up transaction entries
- later in the program.
-
- C1 CONSULTING TIME $ 100.00 (Using the number to
- C2 CONSULTING TIME $ 200.00 represent the money value.)
- C25 CONSULTING TIME $ 250.00
-
- or
-
- MM1 MAINTENANCE MONTHLY $ 100.00 (Using a letter to
- MM2 MAINTENANCE MONTHLY $ 200.00 represent a time period,
- MQ1 MAINTENANCE QUARTERLY $ 100.00 M for month, Q for quarter.)
- MQ2 MAINTENANCE QUARTERLY $ 200.00
-
- You have three characters in each code. You will have to decide what codes
- to use and what billing explanations you want to appear. One further piece of
- information will have to be added, whether or not the billing explanation
- refers to a debit or a credit.
-
-
-
-
- Professional Billing Manual Page A-6
-
-
-
- MODERN MICROCOMPUTERS Transaction codes
-
-
- Of course you will want one or more codes to represent that you have
- received payment.
-
- CHK CHECK RECEIVED, THANK YOU $ 0.00
-
- PA PART PAYMENT RECEIVED $ 0.00
-
- PAP PART PAYMENT RECEIVED,
- PLEASE REMIT BALANCE. $ 0.00
-
- PAA PART PAYMENT RECEIVED.
- PLEASE REMIT BALANCE AT
- ONCE IN ORDER TO KEEP YOUR
- CREDIT RECORD UP TO DATE. $ 0.00
-
- OR OK, WISE GUY, PAY UP AT (Enter as a credit and
- ONCE OR THE MEN IN THE BIG it will print with no
- BLACK CAR WILL PAY YOU A money value showing on
- VISIT AT 2:00 A.M. $ 0.00 the statement.)
-
- You can have up to 1,500 Transaction codes.
-
- One additional point. If you create a transaction code as a debit but do
- not include an associated amount of money this will cause the billing
- explanation to print with 'NC' in the money area. If you create a transaction
- code as a credit but do not include an associated amount of money this will
- cause the billing explanation to print with nothing in the money area. You
- might want to use this to add a line to a statement indicating that the
- statement was overdue. Note the 'OR' code included in the above examples.
-
- OK, enter choice 63 so that we can move on to entering the codes.
-
- *************************************************************************
- * *
- * CONTROL FILE MAINTENANCE MENU *
- * *
- * You may now: *
- * *
- * 61 - INITIALIZE MASTER FILE *
- * *
- * 62 - CHANGE STATEMENT HEADER INFORMATION *
- * *
- * 63 - SET UP OR ADD NEW TRANSACTION CODES *
- * *
- * 64 - CHANGE A TRANSACTION CODE *
- * *
- * 65 - LIST THE TRANSACTION CODES *
- * *
- * 66 - RETURN TO MASTER MENU *
- * *
- * *
- * Enter your CHOICE by NUMBER (61-66) 63 <CR> *
- * *
- *************************************************************************
-
-
-
-
-
- Professional Billing Manual Page A-7
-
-
-
- MODERN MICROCOMPUTERS Transaction codes
-
-
- Note that you can change any of the information just entered using Option
- number 62. You can try that later but now we want you to enter some trans
- action codes.
-
- The following is a list of transaction codes which we intend to use in our
- examples.
-
- MAA MONTHLY ACCOUNTING SERVICES $100.00
-
- MAB MONTHLY ACCOUNTING SERVICES $100.00
-
- TPA TAX PLANNING $ 75.00
-
- TPB TAX PLANNING $ 75.00
-
- FSA INCOME TAX PREPARATION
- FEDERAL AND STATE FORMS $175.00
-
- FSB INCOME TAX PREPARATION
- FEDERAL AND STATE FORMS $175.00
-
- F-A INCOME TAX PREPARATION
- FEDERAL TAX RETURN ONLY $125.00
-
- F-B INCOME TAX PREPARATION
- FEDERAL TAX RETURN ONLY $125.00
-
- PAY PAYMENT RECEIVED.
- THANK YOU. $ 0.00 (Enter as a credit)
-
- PAR PARTIAL PAYMENT RECEIVED.
- THANK YOU. $ 0.00 (Enter as a credit)
-
- OVD THIS AMOUNT IS NOW OVERDUE.
- PLEASE REMIT PROMPTLY. $ 0.00 (Enter as a credit)
-
- ACC QUARTERLY ACCOUNTING WORK $225.00
-
- This gives us 12 billing explanations which should be enough to demonstrate
- how the system works.
-
- Before we go any further take note of the fact that we set up pairs of
- transaction codes MAA and MAB, TPA and TPB, FSA and FSB, F-A and F-B. In each
- case the first of each pair of codes will be used by Mr. Able and the second
- by Mr. Baker. In this way the billing explanations will contain the same
- information but the two partners will be able to determine how much billing
- was accomplished by each. The letter 'A' at the end of the code will identify
- Mr. Able's billings and the letter 'B' will be used by Mr. Baker.
-
-
-
-
-
-
-
-
-
-
-
- Professional Billing Manual Page A-8
-
-
-
- MODERN MICROCOMPUTERS Transaction codes
-
-
- Don't be overly concerned about the amounts of money associated with each
- transaction code. When the actual billing routine is in progress it is
- possible to change the amount quite easily. As a matter of fact, TPA and TPB
- will be used by the partners as a per hour billing charge. In all other cases
- the amount is a set fee which is usually charged. Mr. Able and Mr. Baker have
- decided that their basic rate per hour should be at least $ 75.00, and they
- intend to receive no less than $ 175.00 per tax form preparation.
-
- After making choice 63 from the CONTROL FILE MAINTENANCE MENU, the screen
- clears and another set of directions and questions appears. As we did before
- we will indicate the information printed by the computer on the screen in BOLD
- print and your responses in ordinary print.
-
- *************************************************************************
- * *
- * You must now enter your TRANSACTION CODES, their *
- * DESCRIPTIONS, and whether they are DEBITS or CREDITS. *
- * *
- * TRANSACTION CODES can be 1, 2, or 3 characters. *
- * Their DESCRIPTION can be a MAXIMUM of 4 lines of up *
- * to 32 characters each. *
- * *
- * Type 'END' for the last transaction code. *
- * *
- * TRANSACTION CODE MAA <CR> *
- * DEBIT OR CREDIT (D OR C) <D> D <CR> *
- * *
- * Maximum of 32 Characters *
- * -------------------------------- *
- * Line 1 of DESCRIPTION MONTHLY ACCOUNTING SERVICES <CR> *
- * Line 2 of DESCRIPTION <CR> *
- * Line 3 of DESCRIPTION <CR> *
- * Line 4 of DESCRIPTION <CR> *
- * AMOUNT PER UNIT <CR> IF 0 100 <CR> *
- * *
- * Everything O.K. (Y or N) <Y> Y <CR> *
- * *
- * THIS IS BEING WRITTEN TO THE FILE *
- * *
- *************************************************************************
-
- After you enter this first transaction code and information the screen
- clears and you are presented with the same requests so that you can enter the
- second transaction code.
-
-
-
-
-
-
-
-
-
-
-
-
-
-
-
- Professional Billing Manual Page A-9
-
-
-
- MODERN MICROCOMPUTERS Transaction codes
-
-
- *************************************************************************
- * *
- * You must now enter your TRANSACTION CODES, their *
- * DESCRIPTIONS, and whether they are DEBITS or CREDITS. *
- * *
- * TRANSACTION CODES can be 1, 2, or 3 characters. *
- * Their DESCRIPTION can be a MAXIMUM of 4 lines of up *
- * to 32 characters each. *
- * *
- * Type 'END' for the last transaction code. *
- * *
- * TRANSACTION CODE MAB <CR> *
- * DEBIT OR CREDIT (D OR C) <D> D <CR> *
- * *
- * Maximum of 32 Characters *
- * -------------------------------- *
- * Line 1 of DESCRIPTION MONTHLY ACCOUNTING SERVICES <CR> *
- * Line 2 of DESCRIPTION <CR> *
- * Line 3 of DESCRIPTION <CR> *
- * Line 4 of DESCRIPTION <CR> *
- * AMOUNT PER UNIT <CR> IF 0 100 <CR> *
- * *
- * Everything O.K. (Y or N) <Y> Y <CR> *
- * *
- * THIS IS BEING WRITTEN TO THE FILE *
- * *
- *************************************************************************
-
-
-
-
-
-
-
-
-
-
-
-
-
-
-
-
-
-
-
-
-
-
-
-
-
-
-
-
-
-
-
-
- Professional Billing Manual Page A-10
-
-
-
- MODERN MICROCOMPUTERS Transaction codes
-
-
- You probably noticed that the machine included <D> as a default regarding
- the Debit or Credit entry. Depressing the RETURN or ENTER key causes the
- letter 'D' to be entered. In a similar fashion the default becomes the letter
- 'Y' if you depress the RETURN or ENTER key as the answer to the question
- "EVERYTHING O.K. (Y or N) <Y>". Defaults will help speed data entry. One
- common direction will be "Depress RETURN to continue". You need
- do nothing more than Depress the ENTER or RETURN key at that time.
-
- YOU will continue adding the transaction codes, one by one, until they are
- all into the machine. Just enter the transaction codes that we indicated we
- will be using. By the time you have entered them all you should be very
- familiar with this stage of the work.
-
- In order to conclude this section of the program you must type END <CR>
- instead of a three letter transaction code. Just follow the prompts as they
- appear on the screen. When you finish entering the transaction codes continue
- on to the next page.
-
- Here are the transaction codes YOU must enter:
-
- TPA TAX PLANNING DEBIT $ 75.00
-
- TPB TAX PLANNING DEBIT $ 75.00
-
- FSA INCOME TAX PREPARATION
- FEDERAL AND STATE FORMS DEBIT $175.00
-
- FSB INCOME TAX PREPARATION
- FEDERAL AND STATE FORMS DEBIT $175.00
-
- F-A INCOME TAX PREPARATION
- FEDERAL TAX RETURN ONLY DEBIT $125.00
-
- F-B INCOME TAX PREPARATION
- FEDERAL TAX RETURN ONLY DEBIT $125.00
-
- PAY PAYMENT RECEIVED.
- THANK YOU. CREDIT $ 0.00
-
- PAR PARTIAL PAYMENT RECEIVED.
- THANK YOU. CREDIT $ 0.00
-
- OVD THIS AMOUNT IS NOW OVERDUE.
- PLEASE REMIT PROMPTLY. CREDIT $ 0.00
-
- ACC QUARTERLY ACCOUNTING WORK. DEBIT $225.00
-
-
-
-
-
-
-
-
-
-
-
-
-
- Professional Billing Manual Page A-11
-
-
-
- MODERN MICROCOMPUTERS Transaction codes
-
-
- When you have completed entering the transaction codes you must type END
- when asked for the next transaction code. This indicates to the computer that
- you have completed your entries.
-
- *************************************************************************
- * *
- * You must now enter your TRANSACTION CODES, their *
- * DESCRIPTIONS, and whether they are DEBITS or CREDITS. *
- * *
- * TRANSACTION CODES can be 1, 2, or 3 characters. *
- * Their DESCRIPTION can be a MAXIMUM of 4 lines of up *
- * to 32 characters each. *
- * *
- * Type 'END' for the last transaction code. *
- * *
- * TRANSACTION CODE END <CR> *
- * *
-
- At this time it makes sense to get your first printout of information. You
- will need to see the transaction codes that were entered to pick up any errors
- which may have occurred. You will select the option to list the codes. The
- first time you will ask to see them on the screen and then repeat this step
- asking for a printout on the printer. You need to select Option 65.
-
- *************************************************************************
- * *
- * CONTROL FILE MAINTENANCE MENU *
- * *
- * You may now: *
- * *
- * 61 - INITIALIZE MASTER FILE *
- * *
- * 62 - CHANGE STATEMENT HEADER INFORMATION *
- * *
- * 63 - SET UP OR ADD NEW TRANSACTION CODES *
- * *
- * 64 - CHANGE A TRANSACTION CODE *
- * *
- * 65 - LIST THE TRANSACTION CODES *
- * *
- * 66 - RETURN TO MASTER MENU *
- * *
- * *
- * Enter your CHOICE by NUMBER (61-66) 65 <CR> *
- * *
- *************************************************************************
-
- Type 65 <CR> to get the listing. You will be offered a choice on how you
- want to view the information. Your choice is N <CR>.
-
-
-
-
-
-
-
-
-
-
- Professional Billing Manual Page A-12
-
-
-
- MODERN MICROCOMPUTERS Transaction codes
-
-
- First you will take a look at the codes on the screen so your response is N
- followed by depressing the RETURN or ENTER key. You will note that you could
- accomplish the same thing by simply depressing the RETURN or ENTER key since
- the default is indicated on the screen as <N>.
-
- *************************************************************************
- * *
- * DO YOU WANT A HARDCOPY (Y OR N) <N> N <CR> *
- * *
- * *
-
- The screen clears and the transaction codes appear for your viewing
- pleasure. You could get a hardcopy printout of this information and should do
- so to use as a reference later on.
-
- The information will appear in the following form.
-
- *************************************************************************
- * *
- * CURRENT TRANSACTION CODES *
- * *
- * CODE TYPE DESCRIPTION TO APPEAR ASSOCIATED AMOUNT *
- * *
- * MAA DEBIT MONTHLY ACCOUNTING SERVICES $100.00 *
- * *
- * MAB DEBIT MONTHLY ACCOUNTING SERVICES $100.00 *
- * *
- * TPA DEBIT TAX PLANNING $ 75.00 *
- * *
- and the remainder of the codes.
-
- You will note that this report also shows the Y-T-D amount which has been
- billed under the code and the total number of units which have been billed.
- At the present time these values are zero.
-
- When the prompt, Depress RETURN to continue appears on the screen simply
- depress the RETURN or ENTER key and the total accumulated debits and credits
- will be shown. Again, since this is the beginning of the work, the values
- will be zero. You can use this routine at any time during the year to see how
- much has been billed under each transaction code and if you are using the
- units to represent hours (or minutes), you can see how much time has been
- involved with each code.
-
- Depressing RETURN causes the CONTROL FILE MAINTENANCE MENU to reappear.
-
- Now lets get a hardcopy listing on the printer. Make sure that the printer
- is on line and type 65 <CR> and when the prompt appears type Y <CR> so that
- the printer will record the information for you.
-
-
-
-
-
-
-
-
-
-
-
- Professional Billing Manual Page A-13
-
-
-
- MODERN MICROCOMPUTERS Transaction codes
-
-
- *************************************************************************
- * *
- * CONTROL FILE MAINTENANCE MENU *
- * *
- * You may now: *
- * *
- * 61 - INITIALIZE MASTER FILE *
- * *
- * 62 - CHANGE STATEMENT HEADER INFORMATION *
- * *
- * 63 - SET UP OR ADD NEW TRANSACTION CODES *
- * *
- * 64 - CHANGE A TRANSACTION CODE *
- * *
- * 65 - LIST THE TRANSACTION CODES *
- * *
- * 66 - RETURN TO MASTER MENU *
- * *
- * *
- * Enter your CHOICE by NUMBER (61-66) 65 <CR> *
- * *
- *************************************************************************
-
- This time type Y <CR> to get the printer into action.
-
- *************************************************************************
- * *
- * DO YOU WANT A HARDCOPY (Y OR N) <N> Y <CR> *
- * *
- * Make sure your printer is turned on and has paper. *
- * *
- * Set your printer to the top of the page and *
- * Depress RETURN to continue <CR> *
- * *
-
- After the printout function is complete depress <CR> at the prompt and the
- CONTROL FILE MAINTENANCE MENU appears once more.
-
- Let us take a brief time for review. On this menu you use Option 61 ONLY
- at the initialization of the system. If you use it again all data will be
- removed from the disks. YOU DO NOT WANT THIS TO HAPPEN.
-
- Option 62 allows you to change the information contained at the top of the
- statements. You may want to use it to change the four lines of comments which
- appear opposite the client's name and address. You can also change the single
- long line which appears on the statements. Some users change this to a row of
- double dashes ======.
-
- You will use Option 63 if you intend to add any new transaction codes and
- Option 64 if you want to change any.
-
- Finally, Option 65 allows you to print out or view the transaction codes.
-
-
-
-
-
-
-
- Professional Billing Manual Page A-14
-
-
-
- MODERN MICROCOMPUTERS Entering Client Information
-
-
- Now that you have finished with the CONTROL FILE MAINTENANCE MENU you would
- like to get back to the MASTER MENU. In order to do this enter 66 <CR> which
- is the bottom choice on the CONTROL FILE MAINTENANCE MENU.
-
- You have completed the first part of the system set up and now must enter
- the information about the clients. You therefore select Option 2 on the
- MASTER MENU.
-
- *************************************************************************
- * *
- * In which area would you like to work? *
- * *
- * 1 - TRANSACTION FILE SERVICES *
- * Enter/View/Print/Change Transactions *
- * *
- * 2 - CUSTOMER FILE SERVICES *
- * Setup/Change Customer Account Information *
- * *
- * 3 - ACCOUNTS RECEIVABLE AND TRANSACTION CODE REPORT *
- * *
- * 4 - INVOICE/STATEMENT PRINTING - RECORD UPDATING *
- * *
- * 5 - REPORT OF MOST RECENT BILLING *
- * *
- * 6 - PRINT LABELS *
- * *
- * 7 - CONTROL FILE SERVICES *
- * Setup/Change Statement Information *
- * Setup/Change Transaction Codes *
- * *
- * 0 - TO EXIT SYSTEM *
- * *
- * Enter your choice by NUMBER (0 - 7) 2 <CR> *
- * *
- *************************************************************************
-
- You should have the names, addresses and phone numbers of each of your
- clients ready. In addition, you should know their present outstanding
- balance, if any. The machine will automatically assign a client number to
- each client you enter. If you would rather have a special identification code
- for the client instead of a number, you can enter up to 8 characters instead
- of the number. For example, you might want to use JONES to represent the
- JONES AND SMITH LUMBER COMPANY. You will also be able to include, if you so
- desire, a second name in addition to the primary name of the client. This is
- an attention line in the address.
-
- It is quite possible that after you have entered your clients, you will
- want to re-arrange the order in which the clients appear on your reports. In
- order to allow you to re-arrange the list, you must assign a sorting code to
- each client. The code is made up of two letters and a number between 1 and 9.
- For example, BR5 might stand for Bright-Cleaning Corporation. If you wanted
- Bronson Gas Co. to appear after Bright-Cleaning Corporation in the list,
- assign a sorting code of BR6 to Bronson Gas Co. The machine will sort the
- codes BR5 before BR6. If you then had still another company called
-
-
-
-
-
- Professional Billing Manual Page B-1
-
-
-
- MODERN MICROCOMPUTERS Entering Client Information
-
-
- Branford and Branford, make their sorting code BR4. They will then appear
- before the other two companies in the file.
-
- You can alter the sorting codes of clients at any time. For instance you
- have set up the following:
-
- Clancy Industries CL4
- Clipper Hedge Cutting CL5
- Clothing For You CL6
-
- and then you take on another client, Cleaning Materials Rentals. You would
- want them to appear after Clancy Industries and before Clipper Hedge Cutting.
- You would have to adjust Clancy Industries to be CL3 and then make Cleaning
- Materials Rentals, CL4. In this way the list would become:
-
- Clancy Industries CL3
- Cleaning Materials Rentals CL4
- Clipper Hedge Cutting CL5
- Clothing For You CL6
-
- It is suggested that you start each client with two letters and the number
- 5. In that way if you have another client and you want to use the same two
- letters you made make their number more or less than 5.
-
- Of course, like many of the options available, you do not have to use the
- sorting option. It is there in case you want to make use of it.
-
- You will note that the sorting process appears on the next menu. YOU WILL
- NOT BE ABLE TO SORT YOUR LIST UNTIL YOU HAVE DONE AT LEAST ONE COMPLETE
- BILLING ROUTINE.
-
- You will be entering eight dummy companies which are serviced by A. and B.
- Accounting Co. In order to demonstrate the various functions you will associ
- ate transaction codes with the first five. You will assume that Mr. Able does
- the accounting work for the first company and that Mr. Baker does the account
- ing work for the second and third companies. These three companies are billed
- each month. The forth and fifth companies will be billed only quarterly.
- These five will serve as examples of how the automatic billing feature works.
-
- The remaining three companies or individuals have various needs which the
- A. and B. Accounting Co. handles.
-
- Here is a listing of the eight companies we would like you to enter into
- the computer.
-
- ACE HARDWARE CO.
- MR. GOODWRENCH
- 557-9129
- 1 FIRST STREET
- SMALL TOWN, N.Y. 11220
- ASSOCIATED TRANSACTION CODE WILL BE MAA (Mr. Able's client)
- BILLING CYCLE 1 SORTING CODE AC5.
-
-
-
-
-
-
-
- Professional Billing Manual Page B-2
-
-
-
- MODERN MICROCOMPUTERS Entering Client Information
-
- BIG TIME SHOE COMPANY
- MRS. IMA FITTER
- 826-2200
- 2 SECOND AVENUE
- LITTLE TOWN, N.Y. 11340
- ASSOCIATED TRANSACTION CODE WILL BE MAB (Mr. Baker's client)
- BILLING CYCLE 1 SORTING CODE BI5.
-
-
- CRUNCHY CANDY STAND
-
- 333-5693
- 3 THIRD PLACE
- MIDDLE TOWN, N.Y. 11567
- ASSOCIATED TRANSACTION CODE WILL BE MAB (The second of Mr. Baker's
- BILLING CYCLE 1 SORTING CODE CR5. clients)
-
-
- MADE-TO-ORDER PARTS
- ACCOUNTS PAYABLE DEPT.
- 824-2200
- 100 INDUSTRIAL PARK ROAD
- SUBURBIA, N.Y. 11001
- ASSOCIATED TRANSACTION CODE WILL BE ACC
- BILLING CYCLE 2 SORTING CODE MA5.
-
-
- W. & T. COAT COMPANY
- MR. W. WARMER
- 2127578210 NOTE: You are limited to 10 characters
- 32 DEGREE LANE for the telephone numbers.
- OCEAN FRONT, N.Y. 12788
- ASSOCIATED TRANSACTION CODE WILL BE ACC
- BILLING CYCLE 2 SORTING CODE WA5.
-
- D. D. DOING, INC.
- MR. DAVID DOING
- 376-8221
- 4 FORTH AVENUE
- BIG TOWN, N.Y. 11556 SORTING CODE DO5.
-
- EVER-NEAR PLUMBING CO.
- MR. DIKEMENDER
- 522-7710
- 5 FIFTH STREET
- ANOTHER TOWN, N.Y. 11664 SORTING CODE EV5.
-
-
- MRS. FRANCINE FARMER
-
- 634-0031
- 6 SIXTH ROAD
- IN THE STIKS, NEW YORK 19822 SORTING CODE FA5.
-
-
-
-
-
-
-
- Professional Billing Manual Page B-3
-
-
-
- MODERN MICROCOMPUTERS Entering Client Information
-
-
- Note that 'Crunchy Candy Stand' and 'Mrs. Francine Farmer' have no second
- line to their address. The other four companies direct the mail to a certain
- individual. Actually, Mrs. Farmer is not a company but A. and B. Accounting
- Co. has handled her money activities for a number of years.
-
- You will assume that none of these individuals has an outstanding balance
- at the present time. When asked for the present balance and the year to date
- billings while entering information you will indicate 0 (zero) as the amount.
-
- The first three companies are to be billed each month and are therefore
- entered as billing cycle 1. The next two companies are billed quarterly and
- are put into billing cycle 2.
-
- After entering choice 2 on the MASTER MENU the CUSTOMER ACCOUNT MAINTENANCE
- MENU now appears. You will use Option 21 to begin since you want to add new
- customers to the file.
-
- ************************************************************************
- * *
- * CUSTOMER ACCOUNT MAINTENANCE MENU *
- * *
- * You may now: *
- * 21 - ADD NEW ACCOUNTS TO FILE *
- * *
- * 22 - MODIFY AN EXISTING ACCOUNT *
- * *
- * 23 - LIST ACCOUNT NAMES AND ADDRESSES *
- * *
- * 24 - SEARCH FILE BY ACCOUNT NAME *
- * *
- * 25 - LIST ACCOUNTS, BALANCES AND TOTAL OUTSTANDING *
- * *
- * 26 - RE-INITIALIZE CUSTOMER FILE *
- * *
- * 27 - END OF YEAR REPORTS *
- * *
- * 28 - SORT FILE BASED ON SORT KEY *
- * *
- * 29 - RETURN TO MASTER MENU *
- * *
- * Enter your CHOICE by NUMBER (21-29) 21 <CR> *
- * *
- * *
-
- Enter 21 <CR> in order to add customers to the file.
-
- NOTE: Option 26 allows you to re-initialize the customer file. Please do not
- use this option without careful thought. It removes everything from the
- customer file.
-
-
-
-
-
-
-
-
-
-
- Professional Billing Manual Page B-4
-
-
-
- MODERN MICROCOMPUTERS Entering Client Information
-
-
- * *
- * YOU PRESENTLY HAVE 0 CUSTOMERS IN THE FILE. *
- * *
- * This will become IDENT. No. 101 *
- * *
- * Do you want to have it as a DIFFERENT IDENT. (Y or N) <N> ? <CR> *
- * *
- * Depress RETURN when finished entering customers. *
- * PRIMARY NAME _ *
- * *
- * *
- Before you enter information a few points should be made clear. First,
- each client will be assigned an account number beginning with 101. You can
- have up to 1,500 clients on the system. You can enter an alternate
- identification code if you so desire. It can be up to eight characters in
- length and will be used instead of the number suggested by the computer. In
- order to look at information about a specific customer you will call up the
- data by account number, account identification or you can search the file for
- a specific name. You will see that using Option 23 (on the previous menu)
- will list the names, addresses and account numbers for reference. Option 25
- will list the accounts by number and also show their outstanding balances.
-
- Each client can be given a PRIMARY NAME and a SECONDARY NAME. You are
- going to input only eight (8) customers.
-
- With each customer you can associate a Transaction code if you so desire.
- This will allow us to do an automatic transaction routine later when entering
- information during the transaction period. You will only associate trans
- action codes with five of the clients.
-
- ************************************************************************
- * YOU PRESENTLY HAVE 0 CUSTOMERS IN THE FILE. *
- * *
- * This will become IDENT. No. 101 *
- * *
- * Do you want to have it as a DIFFERENT IDENT. (Y or N) <N> ? <CR> *
- * *
- * Depress RETURN when finished entering customers. *
- * PRIMARY NAME ACE HARDWARE CO. <CR> *
- * SECONDARY NAME MR. GOODWRENCH <CR> *
- * PHONE 557-9129 <CR> *
- * STREET ADDRESS 1 FIRST STREET <CR> *
- * CITY, STATE, ZIP SMALL TOWN, N.Y. 11220 <CR> *
- * ACCOUNT BALANCE 0 <CR> *
- * BILLED Y-T-D 0 <CR> *
- * *
- * *
- The screen will clear.
-
-
-
-
-
-
-
-
-
-
-
- Professional Billing Manual Page B-5
-
-
-
- MODERN MICROCOMPUTERS Entering Client Information
-
-
- * *
- * You can now attach a Transaction code to this customer. *
- * This will allow you to AUTOMATICALLY enter this client and *
- * the associated Transaction into the Transaction file each billing *
- * period. If you would rather not have this function involved with *
- * this client, simply depress RETURN in response to the question. *
- * *
- * WHAT TRANSACTION CODE TO BE ASSOCIATED MAA <CR> *
- * *
- * To which billing cycle (1-8) do you want this assigned? 1 <CR> *
- * *
- The screen will clear.
-
- * *
- * You can now add a sorting key to this customer. The sorting key *
- * must be 2 letters and 1 number, e.i., AB1 or GE3. You will be *
- * able to sort your customers by using this key. You can change *
- * a customer's sorting key at any time. *
- * *
- * Please enter the sorting key. AC5 <CR> *
- * *
-
- * *
- * ACE HARDWARE CO. *
- * MR. GOODWRENCH Associated Transaction Code MAA *
- * 1 FIRST STREET Billing Cycle will be 1 *
- * SMALL TOWN, N.Y. 11220 *
- * PRESENT BALANCE 0.00 *
- * Y-T-D BILLING 0.00 *
- * Sort Code AC5 *
- * *
- * Is this CORRECT (Y or N) <Y> Y <CR> *
- * *
- ************************************************************************
-
- You have made your first entry. After you depress the ENTER or RETURN key
- the information is written to the file. Ace Hardware Co. has become client
- number 101. From now on when you wish to view this client you will call him
- up by using his customer number.
-
-
-
-
-
-
-
-
-
-
-
-
-
-
-
-
-
-
-
-
- Professional Billing Manual Page B-6
-
-
-
- MODERN MICROCOMPUTERS Entering Client Information
-
-
- The screen clears and you see:
-
- ************************************************************************
- * YOU PRESENTLY HAVE 1 CUSTOMERS IN THE FILE. *
- * *
- * This will become IDENT. No. 102 *
- * *
- * Do you want to have it as a DIFFERENT IDENT. (Y or N) <N> ? <CR> *
- * *
- * Depress RETURN when finished entering customers. *
- * PRIMARY NAME BIG TIME SHOE COMPANY <CR> *
- * SECONDARY NAME MRS. IMA FITTER <CR> *
- * PHONE 826-2200 <CR> *
- * STREET ADDRESS 2 SECOND AVENUE <CR> *
- * CITY, STATE, ZIP LITTLE TOWN, N.Y. 11340 <CR> *
- * ACCOUNT BALANCE 0 <CR> *
- * BILLED Y-T-D 0 <CR> *
- * *
- * You can now attach a Transaction code to this customer. *
- * This will allow you to AUTOMATICALLY enter this client and *
- * the associated Transaction into the Transaction file each billing *
- * period. If you would rather not have this function involved with *
- * this client, simply depress RETURN in response to the question. *
- * *
- * WHAT TRANSACTION CODE TO BE ASSOCIATED MAB <CR> *
- * *
- * To which billing cycle (1-8) do you want this assigned 1 <CR> *
- * *
- The screen will clear.
-
- * *
- * You can now add a sorting key to this customer. The sorting key *
- * must be 2 letters and 1 number, e.i., AB1 or GE3. You will be *
- * able to sort your customers by using this key. You can change *
- * a customer's sorting key at any time. *
- * *
- * Please enter the sorting key. BI5 <CR> *
- * *
-
- * *
- * BIG TIME SHOE COMPANY *
- * MRS. IMA FITTER Associated Transaction Code MAB *
- * 2 SECOND AVENUE Billing Cycle will be 1 *
- * LITTLE TOWN, N.Y. 11340 *
- * PRESENT BALANCE 0.00 *
- * Y-T-D BILLING 0.00 *
- * Sorting Code BI5 *
- * *
- * Is this CORRECT (Y or N) <Y> Y <CR> *
- * *
- ************************************************************************
-
-
-
-
-
-
-
-
- Professional Billing Manual Page B-7
-
-
-
- MODERN MICROCOMPUTERS Entering Client Information
-
-
- OK, That takes care of your second customer. Now YOU will enter the
- remaining six customers. You can enter them, one by one.
-
- In the case of the last three entries which you will make you do not want
- to associate any transaction code with these clients so you simply use the
- RETURN key and the machine will do the rest.
-
- The 'Crunchy Candy Stand' would normally become client number 103. When
- you are asked if you want to have a different identification number, respond
- with Y <CR>. You will then be asked what IDENT. you want. Enter CANDY <CR>.
- From this point on, the 'Crunchy Candy Stand' will be called up, not by
- number, but by the unique identification code, CANDY. The associated trans
- action code will allow automatic billing and the use of MAB will indicated to
- the partners that the billing is for Mr. Baker's work. The billing cycle will
- be 1 so that this account is billed monthly.
-
- PRIMARY NAME CRUNCHY CANDY STAND
- SECONDARY NAME
- PHONE 333-5693
- STREET ADDRESS 3 THIRD PLACE
- CITY, STATE, ZIP MIDDLE TOWN, N.Y. 11567
- ACCOUNT BALANCE 0
- BILLED Y-T-D 0
- ASSOCIATED TRANSACTION CODE WILL BE MAB BILLING CYCLE 1
- Sorting Key CR5
-
- Let the IDENT. number for MADE-TO-ORDER be 104 as indicated by the computer
- by responding with only <CR> when asked if you want a different identi
- fication. Remember, the billing cycle is 2 because we want to bill this
- client quarterly rather than monthly. Cycle 1 will be those we want to bill
- monthly, cycle 2, for those we want to bill quarterly.
-
- PRIMARY NAME MADE-TO-ORDER PARTS
- SECONDARY NAME ACCOUNTS PAYABLE DEPT.
- PHONE 824-2200
- STREET ADDRESS 100 INDUSTRIAL PARK ROAD
- CITY, STATE, ZIP SUBURBIA, N.Y. 11001
- ACCOUNT BALANCE 0
- BILLED Y-T-D 0
- ASSOCIATED TRANSACTION CODE WILL BE ACC BILLING CYCLE 2
- Sorting Key MA5
-
- Just to be unusual, make the IDENT. for the coat company, COAT, instead of
- the suggested number offered by the computer of 105. Again, simply responding
- with Y <CR> when asked if you want a different IDENT. Then enter COAT <CR>.
-
- Please note that with the first customers we used the first two letters of
- their name along with the number 5 as the sorting key. This allows us to put
- other companies with the same first two letters either before of after the
- existing ones by altering the number to be more or less than 5. Remember, CA3
- comes before CA5 so you might have Casey's Bar as CA3 and Carry-All Bags as
- CA5.
-
-
-
-
-
-
-
- Professional Billing Manual Page B-8
-
-
-
- MODERN MICROCOMPUTERS Entering Client Information
-
-
- With W. &. T. we used WA5. This will cause W. & T. to appear at the
- beginning of the companies whose names begin with a 'W'. If you get another
- company beginning with 'WA' or the initial 'W' you may have to make some
- slight adjustments to the sorting keys. This is easily done and will be
- explained later on.
-
- PRIMARY NAME W. & T. COAT COMPANY
- SECONDARY NAME MR. W. WARMER
- PHONE 2127578210 (Remember - limited to 10 characters)
- STREET ADDRESS 32 DEGREE LANE
- CITY, STATE ZIP OCEAN FRONT, N.Y. 12788
- ASSOCIATED TRANSACTION CODE WILL BE ACC BILLING CYCLE 2
- Sorting Key WA5
-
- Let the last three clients assume the number suggested by the computer for
- their identification codes.
-
- PRIMARY NAME D. D. DOING, INC.
- SECONDARY NAME MR. DAVID DOING
- PHONE 376-8221
- STREET ADDRESS 4 FORTH AVENUE
- CITY, STATE, ZIP BIG TOWN, N.Y. 11556
- ACCOUNT BALANCE 0
- BILLED Y-T-D 0
- THERE IS NO ASSOCIATED TRANSACTION CODE FOR THIS CLIENT SO SIMPLY <CR> WHEN
- ASKED FOR THE ASSOCIATED TRANSACTION CODE.
- Sorting Key DO5
-
- PRIMARY NAME EVER-NEAR PLUMBING CO.
- SECONDARY NAME MR. DIKEMENDER
- PHONE 522-7710
- STREET ADDRESS 5 FIFTH STREET
- CITY, STATE, ZIP ANOTHER TOWN, N.Y. 11664
- ACCOUNT BALANCE 0
- BILLED Y-T-D 0
- THERE IS NO ASSOCIATED TRANSACTION CODE FOR THIS CLIENT SO SIMPLY <CR> WHEN
- ASKED FOR THE ASSOCIATED TRANSACTION CODE.
- Sorting Key EV5
-
- PRIMARY NAME MRS. FRANCINE FARMER
- SECONDARY NAME
- PHONE 624-0031
- STREET ADDRESS 6 SIXTH ROAD
- CITY, STATE, ZIP IN THE STIKS, NEW YORK 19822
- ACCOUNT BALANCE 0
- BILLED Y-T-D 0
- THERE IS NO ASSOCIATED TRANSACTION CODE FOR THIS CLIENT SO SIMPLY <CR> WHEN
- ASKED FOR THE ASSOCIATED TRANSACTION CODE.
- Sorting Key FA5
-
- Now that all eight clients are entered you must simply depress the RETURN
- key when asked for the next PRIMARY NAME. The machine will then close the
- customer file and move back to the CUSTOMER ACCOUNT MAINTENANCE MENU.
-
-
-
-
-
-
- Professional Billing Manual Page B-9
-
-
-
- MODERN MICROCOMPUTERS Entering Client Information
-
-
- Of course, you will have many more than eight clients to enter. When you
- are done entering the clients you will want to get a printout of the names,
- addresses, phone numbers, and account numbers to check to be sure you have not
- made a mistake in your entry procedure. You can do this by using Option 23 on
- the Customer Account Maintenance Menu. You will also get an opportunity to
- either print or simply view the information on the screen. Since you have
- only eight customers you will first view them on the screen and then repeat
- the procedure and print them out.
-
- It is also possible to use Option 25 to show just the names and outstanding
- balances if you so desire.
-
- Now you want a listing of the customers so you enter 23 <CR>.
-
- ************************************************************************
- * *
- * CUSTOMER ACCOUNT MAINTENANCE MENU *
- * *
- * You may now: *
- * 21 - ADD NEW ACCOUNTS TO FILE *
- * *
- * 22 - MODIFY AN EXISTING ACCOUNT *
- * *
- * 23 - LIST ACCOUNT NAMES AND ADDRESSES *
- * *
- * 24 - SEARCH FILE BY ACCOUNT NAME *
- * *
- * 25 - LIST ACCOUNTS, BALANCES AND TOTAL OUTSTANDING *
- * *
- * 26 - RE-INITIALIZE CUSTOMER FILE *
- * *
- * 27 - END OF YEAR REPORTS *
- * *
- * 28 - SORT FILE BASED ON SORT KEY *
- * *
- * 29 - RETURN TO MASTER MENU *
- * *
- * Enter your CHOICE by NUMBER (21-29) 23 <CR> *
- * *
- * *
- ************************************************************************
-
- The screen clears and you must now select whether you want to view or to
- get a printout (Hardcopy). You will choose to view by answering N to the
- question.
-
- ************************************************************************
- * *
- * Do you want HARDCOPY (Y or N) <N> N <CR> *
- * *
- * *
-
- The listing will appear on the screen and after each four customers you
- will have to depress the RETURN key to continue on.
-
-
-
-
-
- Professional Billing Manual Page B-10
-
-
-
- MODERN MICROCOMPUTERS Entering Client Information
-
-
- *****************************************************************************
- * *
- * CUSTOMER ACCOUNT FILE LISTING *
- * *
- * IDENT. NAME AND ADDRESS PHONE ASSOC CYCLE SORT KEY *
- * *
- * 101 ACE HARDWARE CO. 557-9129 MAA 1 AC5 *
- * MR. GOODWRENCH *
- * 1 FIRST STREET *
- * SMALL TOWN, NEW YORK 11220 *
- * *
- * 102 BIG TIME SHOE COMPANY 826-2200 MAB 1 BI5 *
- * MRS. IMA FITTER *
- * 2 SECOND AVENUE *
- * LITTLE TOWN, N.Y. 11340 *
- * *
- * CANDY CRUNCHY CANDY STAND 333-5693 MAB 1 CR5 *
- * *
- * 3 THIRD PLACE *
- * MIDDLE TOWN, N.Y. 11567 *
- * *
- * *
-
- And each customer shows up on the screen. Note that CANDY and COAT show up
- as the IDENT. for two of the clients, the other six, have the assigned number
- given by the computer.
-
- You will note that if you want to quit before seeing all the customers you
- can by typing Q <CR> when you see the prompt:
- Depress RETURN to continue (Q to Quit)
-
- When the screen display is complete the CUSTOMER ACCOUNT MAINTENANCE MENU
- reappears on the screen. You can now repeat what was just done but this time
- ask for a hard copy print out by typing Y instead of N in response to the
- question, Do you want HARDCOPY (Y or N) <N>.
-
- ************************************************************************
- * *
- * Do you want HARDCOPY (Y or N) <N> Y <CR> *
- * *
- * *
- The screen responds with a short beep and:
-
- ************************************************************************
- * *
- * Make sure your printer is turned on and has paper. *
- * *
- * Set your printer to the top of the page and Depress RETURN *
- * *
- * *
- Turn on your printer, make sure the paper is adjusted to the top of the
- next sheet and make sure the printer is ready before depressing the RETURN
- key.
-
-
-
-
-
-
- Professional Billing Manual Page B-11
-
-
-
- MODERN MICROCOMPUTERS Entering Client Information
-
-
- The printer will respond with a printout of the customers. When the print
- er is finished with the listing you are once more returned to the CUSTOMER
- ACCOUNT MAINTENANCE MENU.
-
- You might like to use Option 25 at this point so you can compare the infor
- mation produced by it with that produced by Option 23.
-
- When running Option 25 you will need to input your code word at the correct
- place and also indicate you want a hardcopy printout.
-
- ************************************************************************
- * *
- * Do you want the report to show (A)ll customers, *
- * or divided by (B)illing codes ? A <CR> *
-
- Ask to see all the customers. If you would like, you can re-run this
- routine and ask to see the customers by Billing codes by entering B <CR>.
-
- The next option allows you to see only those customers who have balances
- exceeding a certain value. You can put in any value you desire or simply
- depress the RETURN key to show all customers regardless of their outstanding
- balance. Since no customer has a balance, simply depress RETURN.
-
- * *
- * Show those with balances greater than .... *
- * Enter amount or <CR> for all <CR> *
- * *
-
- Since the computer will keep a record of the last debit and last credit for
- each customer it is possible to look for customers who have outstanding
- balances by indicating the number of days they must exceed to be considered
- over due. You might enter 30, 60 or 90 to get such a report. Since none of
- the newly entered customers have yet to incur a debit or receive a credit,
- simply depress RETURN once more.
-
- * *
- * Show those that have not paid in the last ..... days. *
- * Enter 0 to ignore the time factor. 0 <CR> *
- * Do you want HARDCOPY (Y or N) <N> ? <CR> *
-
-
-
-
-
-
-
-
-
-
-
-
-
-
-
-
-
-
-
-
- Professional Billing Manual Page B-12
-
-
-
- MODERN MICROCOMPUTERS Entering Client Information
-
-
- ************************************************************************
- * *
- * ACCOUNT NAMES AND BALANCES *
- * ACT NAME BALANCE LST DEBIT LST PAY *
- * *
- * 101 ACE HARDWARE CO. 0.00 *
- * 102 BIG TIME SHOE COMPANY 0.00 *
- * CANDY CRUNCHY CANDY STAND 0.00 *
- * 104 MADE-TO-ORDER PARTS 0.00 *
- * COAT W. & T. COAT COMPANY 0.00 *
- * 106 D. D. DOING, INC. 0.00 *
- * 107 EVER-NEAR PLUMBING CO. 0.00 *
- * 108 MRS. FRANCINE FARMER 0.00 *
- * *
- * TOTAL BALANCES DUE $0.00 *
- * *
- * Depress RETURN to continue <CR> *
- * *
- ************************************************************************
-
- Once more the CUSTOMER ACCOUNT MAINTENANCE MENU will appear. Since you are
- finished for the time being with this work you must use Option 29 to return to
- the MASTER MENU.
-
- ************************************************************************
- * *
- * CUSTOMER ACCOUNT MAINTENANCE MENU *
- * *
- * You may now: *
- * 21 - ADD NEW ACCOUNTS TO FILE *
- * *
- * 22 - MODIFY AN EXISTING ACCOUNT *
- * *
- * 23 - LIST ACCOUNT NAMES AND ADDRESSES *
- * *
- * 24 - SEARCH FILE BY ACCOUNT NAME *
- * *
- * 25 - LIST ACCOUNTS, BALANCES AND TOTAL OUTSTANDING *
- * *
- * 26 - RE-INITIALIZE CUSTOMER FILE *
- * *
- * 27 - END OF YEAR REPORTS *
- * *
- * 28 - SORT FILE BASED ON SORT KEY *
- * *
- * 29 - RETURN TO MASTER MENU *
- * *
- * Enter your CHOICE by NUMBER (21-29) 29 <CR> *
- * *
- * *
- ************************************************************************
-
-
-
-
-
-
-
-
- Professional Billing Manual Page B-13
-
-
-
- MODERN MICROCOMPUTERS Entering Client Information
-
-
- That gives you an idea of how to use the CUSTOMER ACCOUNT menu. We have
- included number 26 just in case you ever do want to start over. Under normal
- conditions you will NEVER USE OPTION 26.
-
- Option 24 allows you to search the file by name. Simply put the first FEW
- LETTERS of the customer name in when asked for the name. The machine will
- find ALL CUSTOMERS with those beginning letters.
-
- Now let us turn to actually entering information in order to produce a
- transaction file for this billing period.
-
- Enter 29 <CR> to get back to the MASTER MENU
-
-
-
-
-
-
-
-
-
-
-
-
-
-
-
-
-
-
-
-
-
-
-
-
-
-
-
-
-
-
-
-
-
-
-
-
-
-
-
-
-
-
-
-
-
-
-
- Professional Billing Manual Page B-14
-
-
-
- MODERN MICROCOMPUTERS Entering Transactions
-
-
- You are now going to enter information into the transaction file so that
- you can eventually produce your statements. A transaction period can be of
- any length. You might want to enter information daily, print the reports, and
- update the Master file each day. You can, if you wish, enter information
- daily, have the machine list the entries for the day but only update the
- Master file once a month after you have printed out a complete listing of the
- transaction file. There are various other ways to handle the data. We leave
- that up to you.
-
- When you enter 1 <CR> you get the TRANSACTION ENTRY AND REPORT ROUTINE
- heading.
-
- *************************************************************************
- * *
- * In which area would you like to work? *
- * *
- * 1 - TRANSACTION FILE SERVICES *
- * Enter/View/Print/Change Transactions *
- * *
- * 2 - CUSTOMER FILE SERVICES *
- * Setup/Change Customer Account Information *
- * *
- * 3 - ACCOUNTS RECEIVABLE AND TRANSACTION CODE REPORT *
- * *
- * 4 - INVOICE/STATEMENT PRINTING - RECORD UPDATING *
- * *
- * 5 - REPORT OF MOST RECENT BILLING *
- * *
- * 6 - PRINT LABELS *
- * *
- * 7 - CONTROL FILE SERVICES *
- * Setup/Change Statement Information *
- * Setup/Change Transaction Codes *
- * *
- * 0 - TO EXIT SYSTEM *
- * *
- * Enter your choice by NUMBER (0 - 7) 1 <CR> *
- * *
-
- You must now check the date. The date is picked up from the date you
- entered when you 'booted up' the system. Please note that dates are always
- entered as six (6) digits. The first nine months are preceded with a 0, that
- is, February is 02. MAKE THE DATE APRIL 1, 1989. You enter April 1, 1989 as
- 040189. Please make sure that you enter zero and not the letter 'Oh'.
-
- *************************************************************************
- * *
- * Today's date is 05/15/89 is it O.K. to use (Y or N) <Y>? N <CR> *
- * *
- * Enter today's date to use (MMDDYY) 040189 <CR> *
- * *
- * Please wait while files are checked *
- * *
- * *
-
-
-
-
-
- Professional Billing Manual Page C-1
-
-
-
- MODERN MICROCOMPUTERS Entering Transactions
-
-
- At this time the machine is reading information into active memory. In the
- event there is a problem with the disk an error message will appear at this
- time.
-
- If everything is O.K. you will get the TRANSACTION SERVICES MENU.
-
- Our procedure this first transaction period will be to use Option 11 to
- start a new transaction file, use Options 12 and 13 to enter information, list
- the transaction file using Option 16 and make any changes or corrections using
- Option 14.
-
- After this first use of Option 11 it will no longer be necessary to start a
- new transaction file each transaction period. During the updating of the
- master file, which you normally do after sending out statements, the
- transaction file is cleared and automatically set up for a new period.
-
- Enter 11 <CR>. This will probably be the first, last and only
- time that you use this option.
-
- *************************************************************************
- * *
- * TRANSACTION SERVICES MENU *
- * You may now : *
- * *
- * 11 - START A NEW TRANSACTION FILE *
- * *
- * 12 - AUTOMATIC TRANSACTION ENTRY *
- * *
- * 13 - ADD INDIVIDUAL TRANSACTIONS TO THE FILE *
- * *
- * 14 - MODIFY A TRANSACTION ENTRY *
- * *
- * 15 - DELETE A TRANSACTION ENTRY *
- * *
- * 16 - LIST TRANSACTION FILE *
- * *
- * 17 - LIST TRANSACTION CODES *
- * *
- * 18 - RETURN TO SYSTEM MENU *
- * *
- * Enter your CHOICE by NUMBER (11-18) 11 <CR> *
- * *
- *************************************************************************
-
- As an additional aid, the machine will print the daily transactions on the
- printer as you make them if you so desire. This gives you a daily report.
- You can also get the complete transaction file for the period at any time by
- using Option 16.
-
- One other point. Later you will print the statements and update the files.
- At that time the transaction file will be automatically cleared to prevent us
- from accidentally adding the transaction file to the master file more than
- once.
-
-
-
-
-
-
- Professional Billing Manual Page C-2
-
-
-
- MODERN MICROCOMPUTERS Entering Automatic Transactions
-
-
- When you enter 11 <CR> in order to begin a new transaction file period you
- must verify that this is what you want to do since this option will delete any
- transaction presently in the file. The verification process involves your
- response to two questions. The first requires a 'Y' answer and the second
- involves entering your code word. You remember, of course, that we are using
- the word 'DOG' as the code word.
-
- *************************************************************************
- * *
- * ARE YOU SURE THAT'S WHAT YOU WANT TO DO (Y or N) <N> Y <CR> *
- * *
- * You must now enter the code word to start a NEW TRANSACTION FILE *
- * *
- * *
- You should realize that these questions are to make you stop and think
- before you accidentally remove a transaction file which may have data which
- has not yet been used to update the Master file.
-
- Remember, you really have to initialize the transaction file ONCE. You
- need ONLY DO IT THE VERY FIRST TIME YOU RUN THE SYSTEM.
-
- After entering the code word 'DOG' <CR> the menu will appear again. You
- will now begin by using Option 12 to automatically add the Monthly Accounting
- charges to your first three clients. When that is completed, you will then
- put in some entries for two of the other clients, and then put in one trans
- action for one of the three who were billed automatically. You will not bill
- the two clients who are in cycle 2, the quarterly cycle.
-
- Enter 12 <CR> to get to the automatic function routine.
-
- *************************************************************************
- * *
- * TRANSACTION SERVICES MENU *
- * You may now : *
- * *
- * 11 - START A NEW TRANSACTION FILE *
- * *
- * 12 - AUTOMATIC TRANSACTION ENTRY *
- * *
- * 13 - ADD INDIVIDUAL TRANSACTIONS TO THE FILE *
- * *
- * 14 - MODIFY A TRANSACTION ENTRY *
- * *
- * 15 - DELETE A TRANSACTION ENTRY *
- * *
- * 16 - LIST TRANSACTION FILE *
- * *
- * 17 - LIST TRANSACTION CODES *
- * *
- * 18 - RETURN TO SYSTEM MENU *
- * *
- * Enter your CHOICE by NUMBER (11-18) 12 <CR> *
- * *
- *************************************************************************
-
-
-
-
-
- Professional Billing Manual Page C-3
-
-
-
- MODERN MICROCOMPUTERS Entering Automatic Transactions
-
-
- Since you want to prepare bills for those clients in cycle 1, make that
- your first reply.
-
- *************************************************************************
- * *
- * YOU MAY NOW AUTOMATICALLY ADD NEW TRANSACTIONS TO THE FILE. *
- * *
- * WHICH CYCLE TO PUT INTO TRANSACTION FILE (1-8, 0 IF NONE) ? 1 <CR> *
- * *
- Under normal circumstances you would only want to prepare bills for those
- who are to receive automatic bills once each cycle. In order to protect
- against the double billing of these automatic clients, the machine prevents
- you from doing such double billing. There may be circumstances, although very
- rare, in which you might want to over-ride this protection and actually double
- bill the clients. You can do such an over-ride but it, like other choices,
- will require that you enter the code word. We are going through a normal
- billing routine so we do not want to over-ride the double billing protection.
-
- * *
- * Normally you would not want to accidentally bill the same cycle of *
- * clients more than once before sending out statements. if you would *
- * like to OVER-RIDE this protection you can do so by entering the *
- * code word at this time. If you do not want to OVER-RIDE this *
- * protection simply depress the RETURN key. *
- * *
- * Enter the code word to OVER-RIDE the protection or, *
- * depress RETURN to keep protection <CR> *
- * *
-
- You will now elect to get a print-out by responding Y to the next question.
-
- * *
- * Do you want a HARDCOPY of today's transactions (Y or N) <Y> Y <CR> *
- * *
- * Make sure your printer is turned on and has paper. *
- * *
- * SET YOUR PRINTER TO THE TOP OF THE PAGE *
- * Depress RETURN to continue <CR> *
- * ACE HARDWARE CO. *
- * BIG TIME SHOE COMP *
- * CRUNCHY CANDY STAND *
- * AUTOMATIC WORK IS COMPLETE FOR CYCLE 1 *
- * Do you have other AUTOMATIC transactions to enter (Y or N) <N>? *
- * *
-
- The printer will respond by printing information about the first three
- customers since they had associated transaction codes. The screen will show
- the names of these three clients.
-
-
-
-
-
-
-
-
-
-
-
- Professional Billing Manual Page C-4
-
-
-
- MODERN MICROCOMPUTERS Entering Individual Transactions
-
-
- Take a look at what the printer has produced.
- *************************************************************************
- * *
- * A. AND B. ACCOUNTING CO. *
- * TRANSACTIONS FOR 04/01/89 *
- * *
- * IDENT DATE CUSTOMER CODE UNITS AMOUNT TOTAL *
- * *
- * 101 04/01 ACE HARDWARE CO. D MAA AUTO 100.00 100.00 *
- * 102 04/01 BIG TIME SHOE COMPANY D MAB AUTO 100.00 100.00 *
- * CANDY 04/01 CRUNCHY CANDY STAND D MAB AUTO 100.00 100.00 *
- * *
- * *
-
- To this point you have automatically put into the file these three trans
- actions. You do not intend to automatically bill clients in any other cycle
- so you should respond with N <CR> when ask if you have other AUTOMATIC
- transactions to enter.
-
- * *
- * AUTOMATIC WORK IS COMPLETE. *
- * Do you have other MANUAL transactions to enter (Y or N) <N> Y <CR> *
- * *
- * Do you want to skip all accounts that have been automatically *
- * entered for this transaction file period (Y or N) <Y> Y <CR> *
- * *
- Normally when you enter information the client identifications appear in
- sequence and you have the opportunity inputting the necessary transaction
- information. In order to save time the machine will automatically skip all
- clients that have been automatically taken care of. You would like to incor
- porate this feature so you simply enter Y <CR>.
-
- The screen will now show us each client identification in order, which have
- not been automatically worked on. If you want to enter information about that
- individual you <CR> and information about the client will appear. If you do
- not want to deal with that client you can move through the list by simply
- entering the plus sign (+) and <CR>. If you want to move backward through the
- list, enter the minus sign (-) and <CR>. Enter just the appropriate sign, not
- the parentheses.
-
- You can also jump to any client by entering his client identification and
- the <CR>. This is what we will do first.
-
- You will enter information about client number 106, skip 107, go back to
- 101 and then finally do 108. Remember, some clients have numbers and two
- others have unique identification codes, CANDY and COAT.
-
- You will note that the date is automatically in place as 0401 standing for
- April 1st. For the time being don't concern yourself with the 'On-The-Fly'
- statement. You will see the transaction code MAB show up after the term
- TRANSACTION CODE and before the words 'Enter Trans Code'. This happens
- because the machine remembers the last transaction code entered. In this case
- it was for CRUNCHY CANDY STAND, the last client automatically billed.
-
-
-
-
-
-
- Professional Billing Manual Page C-5
-
-
-
- MODERN MICROCOMPUTERS Entering Individual Transactions
-
-
- You may find that this 'remembering' on the part of the computer helpful if
- you are manually billing a number of clients with the same transaction code.
- This is especially useful when you are entering credits to accounts who have
- paid their bills.
-
- The transaction code we want to use with D. D. Doing will be TPA because
- some tax planning work was performed. You should enter TPA <CR> so that the
- statement which will be produced for D. D. Doing, Inc. will read "TAX
- PLANNING".
-
- Next you will enter 3 for the quantity since a total of three hours
- were spent doing Mr. Doing's work. A. and B. Accounting Co. gets $75.00 per
- hour for this type of work so you either accept the default value by simply
- depressing the RETURN key. If you wanted to charge another unit price you
- have the opportunity at this time to make such a change. This change will
- only effect the current client. The transaction code TPA will still have its
- originally associated unit price of $75.00.
-
- If you do decide to enter another price rather than the default price,
- remember not to enter the dollar sign. If you simply enter another amount,
- such as 85 for the unit amount, the computer will automatically change it to
- 85.00. You do not have to enter the decimal point or the zeros following the
- decimal point unless you so desire.
-
- Remember, changing the unit price at this time ONLY effects this client's
- bill.
-
-
- *************************************************************************
- * *
- * IDENT NUMBER (+ Forward, - Backward, 000 TO END) 104 106 <CR> *
- * *
- * D. D. DOING, INC. *
- * MR. DAVID DOING (Y OR N) <Y> <CR> *
- * *
- * TRANSACTION DATE (MMDD) 0401 <CR> *
- * On-The-Fly Enter +++ *
- * TRANSACTION CODE MAB Enter code TPA <CR> *
- * QUANTITY 1 3 <CR> *
- * UNIT AMOUNT 75.00 <CR> *
- * *
- * A DEBIT TAX PLANNING *
- * *
- * $225.00 (Y or N) <Y> <CR> *
- * *
- * *
- The printer responds and the information is written to the disk.
-
- If you check the printer you will see that a new entry has been made for
- D. D. Doing, Inc.
-
-
-
-
-
-
-
-
-
- Professional Billing Manual Page C-6
-
-
-
- MODERN MICROCOMPUTERS Entering Individual Transactions
-
-
- The screen will now clear up to present the next possible client. Since
- D. D. Doing, Inc. was number 106, the screen will show number 107. You have
- nothing to enter for account number 107, 'Ever-Near Plumbing Co.' but you do
- want to enter something for client 101, the Ace Hardware Co. Mr. Able did a
- federal and state tax return for Mr. Goodwrench and would now like to be paid.
- In order to bill Mr. Goodwrench you will enter 101 <CR> to bring to the screen
- the information about Ace Hardware Co.
-
- You are informed that this client has been automatically billed. You want
- to add the extra charges so simply select the default date and when the
- question regarding the transaction code shows up, enter FSA which is the tran
- saction code for income tax preparation by Mr. Able. The unit amount will be
- entered as 200 to indicate $ 200.00. Remember, you don't have to enter the
- decimal point or the zeros. Note that this must have been a rather extensive
- form since Mr. Able decided to charge $ 25.00 more than the default value of
- $ 175. Oh, yes, don't enter the dollar sign.
-
- *************************************************************************
- * *
- * IDENT NUMBER (+ Forward, - Backward, 000 TO END) 107 101 <CR> *
- * *
- * The AUTOMATIC function has placed this client along with his *
- * associated Transaction code and amount in the Transaction file. *
- * Make sure that you are not duplicating that amount at this time. *
- * *
- * ACE HARDWARE CO. *
- * MR. GOODWRENCH (Y OR N) <Y> <CR> *
- * *
- * TRANSACTION DATE (MMDD) 0401 <CR> *
- * On-The-Fly Enter +++ *
- * TRANSACTION CODE TPA Enter code FSA <CR> *
- * QUANTITY 1 <CR> *
- * UNIT AMOUNT 175.00 200 <CR> *
- * *
- * A DEBIT INCOME TAX PREPARATION *
- * FEDERAL AND STATE FORMS *
- * *
- * $200.00 (Y or N) <Y> <CR> *
- * *
- * *
-
- The printer again pops to life and shows the entry for ACE HARDWARE.
-
- The machine will now present us with the next account number 104 since you
- had indicated that you wanted to skip those that had been automatically taken
- care of. You skipped that account before and will skip it again at this time
- since you want to bill client 108, Francine Farmer. You now enter 108 <CR> to
- move to Mrs. Francine Farmer for whom Mr. Baker did some tax planning.
-
-
-
-
-
-
-
-
-
-
-
- Professional Billing Manual Page C-7
-
-
-
- MODERN MICROCOMPUTERS Creating Transactions On-The-Fly
-
-
- Mr. Baker spent one and one-half hours with Mrs. Farmer and intends to bill
- at the set rate of $ 75.00 per hour. Note how this is done by looking over
- the following screen.
-
- *************************************************************************
- * *
- * IDENT NUMBER (+ Forward, - Backward, 000 TO END) 104 108 <CR> *
- * *
- * MRS. FRANCINE FARMER *
- * (Y OR N) <Y> <CR> *
- * *
- * TRANSACTION DATE (MMDD) 0401 <CR> *
- * On-The-Fly Enter +++ *
- * TRANSACTION CODE FSA Enter code TPB <CR> *
- * QUANTITY 1 1.5 <CR> *
- * UNIT AMOUNT 75.00 <CR> *
- * *
- * A DEBIT TAX PLANNING *
- * *
- * $112.50 (Y or N) <Y> <CR> *
- * *
- * *
- Notice how the machine calculated the final cost to Mrs. Farmer. One
- and one-half hours at $ 75.00 per hour comes to $ 112.50.
-
- We will now try the On-The-Fly production of a transaction code. We will
- make the assumption that Mr. Baker spent thirty minutes on the phone with the
- Crunchy Candy Stand owner giving him some investment advice. Mr. Baker would
- like to include this time on the statement to Crunchy. There is presently no
- transaction code to cover that situation. We will create one without going
- through the procedure we used on page A-7.
-
- First, get the Crunchy Candy Stand information by typing CANDY <CR>. Now,
- indicate the date at which the call advice was given, assume March 20, 1989.
- Enter the date as 032089.
-
- At the request for the Transaction code, enter three plus signs, (+++) to
- instruct the machine to begin the routine to create a new transaction code.
- We will call it FAB, standing for financial advice from Mr. Baker.
-
- *************************************************************************
- * *
- * IDENT NUMBER (+ Forward, - Backward, 000 TO END) CANDY <CR> *
- * *
- * CRUNCHY CANDY STAND *
- * (Y OR N) <Y> <CR> *
- * *
- * TRANSACTION DATE (MMDD) 0401 0320<CR> *
- * On-The-Fly Enter +++ *
- * TRANSACTION CODE TPB Enter code +++ <CR> *
- * *
- * ON-THE-FLY TRANSACTION CODE GENERATOR *
- * *
- * CHECKING THE FILE, PLEASE WAIT *
-
-
-
-
-
- Professional Billing Manual Page C-8
-
-
-
- MODERN MICROCOMPUTERS Creating Transactions On-The-Fly
-
-
- The machine has moved to the routine for entering transaction codes. It
- will first check all the existing codes so that it will know if you try to
- enter a code is is presently in use. You will then be given directions on how
- to make your entry.
-
- * *
- * TRANSACTION CODES can be 1, 2, or 3 characters. *
- * Their DESCRIPTION can be a MAXIMUM of 4 lines of up *
- * to 32 characters each. *
- * *
- * Type 'END' if you DON'T want to create a new transaction code. *
- * TRANSACTION CODE FAB <CR> *
- * DEBIT OR CREDIT (D or C) <D> <CR> *
- * *
- * Maximum of 32 Characters *
- * -------------------------------- *
- * Line 1 of DESCRIPTION FINANCIAL CONSULTING BILLED <CR> *
- * Line 2 of DESCRIPTION ON A PER HOUR BASIS. <CR> *
- * Line 3 of DESCRIPTION <CR> *
- * Line 4 of DESCRIPTION <CR> *
- * AMOUNT PER UNIT <CR> IF 0 60 <CR> *
-
- The explanation to appear on the statement will be as follows:
-
- FINANCIAL CONSULTING BILLED
- ON A PER HOUR BASIS.
-
- Mr. Baker wants to charge at a rate of $60.00 per hour for such advice.
- Since Mr. Baker used only 30 minutes for such advice, the quantity is entered
- as .5 representing one-half hour.
-
- * *
- * Everything O.K. (Y or N) <Y>? <CR> *
- * *
- * THIS IS BEING WRITTEN TO THE FILE *
- * QUANTITY 1 .5 <CR> *
- * UNIT AMOUNT 60.00 <CR> *
- * *
- * A DEBIT FINANCIAL CONSULTING BILLED *
- * ON A PER HOUR BASIS. *
- * *
- * $30.00 (Y or N) <Y> <CR> *
- * *
- * *
-
- Again the printer records the transaction.
-
- Since you have completed the entries, enter 000 <CR> (three zeros, not the
- letter Oh) to advise the computer that you want to terminate the work. The
- computer prints the totals on the printer, and advances the paper to the top
- of the next page.
-
-
-
-
-
-
-
-
- Professional Billing Manual Page C-9
-
-
-
- MODERN MICROCOMPUTERS Entry Transaction Report
-
-
- The report produced shows JUST WHAT YOU ENTERED AT THIS SITTING.
-
- *************************************************************************
- * *
- * MODERN MICROCOMPUTERS *
- * TRANSACTIONS FOR 04/01/88 *
- * *
- * IDENT DATE CUSTOMER CODE UNITS AMOUNT TOTALS *
- * *
- * 101 04/01 ACE HARDWARE CO. D MAA AUTO 100.00 100.00 *
- * 102 04/01 BIG TIME SHOE COMPANY D MAB AUTO 100.00 100.00 *
- * CANDY 04/01 CRUNCHY CANDY STAND D MAB AUTO 100.00 100.00 *
- * 106 04/01 D. D. DOING, INC. D TPA 3 75.00 225.00 *
- * 101 04/01 ACE HARDWARE CO. D FSA 1 200.00 200.00 *
- * 108 04/01 MRS. FRANCINE FARMER D TPB 1.5 75.00 112.50 *
- * CANDY 03/20 CRUNCHY CANDY STAND D FAB .5 60.00 30.00 *
- * *
- * TOTAL DR ENTRIES $867.50 *
- * *
- * TOTAL CR ENTRIES $0.00 *
- * *
- *************************************************************************
-
- Let us now stop for a moment and point out the things which were done for
- this transaction period.
-
- 1. You first set up a new transaction period. In order to do this you
- had to enter the code word. Later, when you update records the
- transaction period will be automatically cleared but it is always a
- good idea to use Option 16 to see if anything of importance is in
- the file before a new one is started.
-
- 2. You choose to use the AUTOMATIC function to bill three clients for
- their monthly accounting charges. They were in billing cycle 1.
- You did not bill two clients who are in billing cycle 2 and are
- billed only quarterly. You can, however, add other transactions to
- any of these clients by using Option 13. You did this for account
- number 101 when you billed him for preparation of his federal and
- state income taxes. When you do this you will see a message appear
- to remind us that the AUTOMATIC function has been used for these
- clients.
-
- 3. You used Option 13 to add individual transactions and asked the
- machine to skip over those already automatically worked on. During
- these entries you could accept the default value shown or enter an
- alternate amount. In all cases you accepted the default, 0401, as
- the date by using the <CR>.
-
- 4. You created a new transaction code since there was none available to
- explain the billing for the consulting that Mr. Baker did for
- CRUNCHY CANDY STAND. The newly created transaction code is now
- available any time you need it. You now have 13 transaction codes.
- The limit is 1,500.
-
-
-
-
-
-
- Professional Billing Manual Page C-10
-
-
-
- MODERN MICROCOMPUTERS Entry Transaction Report
-
-
- Options 14-17 explain themselves. You can, if you want, try them out at
- this time.
-
- Simply because we are stopping at this point does not mean that you are
- done entering transactions. You can do this as many times during the trans
- action period as you would like. The transaction file keeps building. You
- can get the type of report shown above each time you enter transactions and
- then at the end of the transaction period print the entire transaction file
- using Option 16.
-
- Before preparing your statements you must carefully look over the entire
- transaction file to determine if there are any errors and if so, correct them
- before printing the statements.
-
- Before you leave this section you should try your hand at entering a credit
- or two. Assume that on April 5, 1988, Mr. Goodwrench from Ace Hardware Co.
- sent in $150.00 as part payment on his account and Mrs. Farmer sent in the
- full amount she owed of $112.50. Go to Option 13, ADD INDIVIDUAL TRANSACTIONS
- TO THE FILE, call up account 101, Ace Hardware Co., put in the new date, and
- use transaction code PAR which is for partial payment of an account. Credit
- him with 150.00. Then call up 108, Mrs. Farmer, and credit her with the full
- amount of 112.50 using transaction code, PAY.
-
- Then leave the entry of transactions and print the entire transaction file
- using Option 16. You might want to try viewing the information on the screen
- before printing it out.
-
- When you are finished, use Option 18 - RETURN TO SYSTEM MENU to get back to
- the MASTER MENU. Enter 18 <CR>.
-
- *************************************************************************
- * *
- * TRANSACTION SERVICES MENU *
- * You may now : *
- * *
- * 11 - START A NEW TRANSACTION FILE *
- * *
- * 12 - AUTOMATIC TRANSACTION ENTRY *
- * *
- * 13 - ADD INDIVIDUAL TRANSACTIONS TO THE FILE *
- * *
- * 14 - MODIFY A TRANSACTION ENTRY *
- * *
- * 15 - DELETE A TRANSACTION ENTRY *
- * *
- * 16 - LIST TRANSACTION FILE *
- * *
- * 17 - LIST TRANSACTION CODES *
- * *
- * 18 - RETURN TO SYSTEM MENU *
- * *
- * Enter your CHOICE by NUMBER (11-18) 18 <CR> *
- * *
- *************************************************************************
-
-
-
-
-
- Professional Billing Manual Page C-11
-
-
-
- MODERN MICROCOMPUTERS Entry Transaction Report
-
-
- At this time you should have the following transaction file printout.
-
- *************************************************************************
- * *
- * TRANSACTION FILE REPORT *
- * REC IDENT. NAME DATE CODE QUANT. AMOUNT *
- * *
- * 1 101 ACE HARDWARE CO. 0401 MAA D 1 100.00 *
- * 2 102 BIG TIME SHOE COMPANY 0401 MAB D 1 100.00 *
- * 3 CANDY CRUNCHY CANDY STAND 0401 MAB D 1 100.00 *
- * 4 106 D. D. DOING, INC. 0401 TPA D 3 225.00 *
- * 5 101 ACE HARDWARE CO. 0401 FSA D 1 200.00 *
- * 6 108 MRS. FRANCINE FARMER 0401 TPB D 1.5 112.50 *
- * 7 CANDY CRUNCHY CANDY STAND 0320 FAB D .5 30.00 *
- * 8 101 ACE HARDWARE CO. 0405 PAR C 1 150.00 *
- * 9 108 MRS. FRANCINE FARMER 0405 PAY C 1 112.50 *
- * *
- * *
- * TOTAL DR ENTRIES $867.50 *
- * *
- * TOTAL CR ENTRIES $262.50 *
- * *
- *************************************************************************
-
- Look it over. Everything is correct. You have established transactions
- totaling $ 867.50 and have received payments of $ 262.50. This information is
- contained in a temporary file and has not yet been added to the permanent
- customer file. You will do that updating of information when you print the
- statements later. For now, however, you want to produce one other report.
- This is called the ACCOUNTS RECEIVABLE REVIEW report.
-
- If you are not yet back to the MASTER MENU make the correct option choice
- and return to that menu. It is choice 18 on the TRANSACTION SERVICES MENU.
- Simply enter 18 <CR>.
-
-
-
-
-
-
-
-
-
-
-
-
-
-
-
-
-
-
-
-
-
-
-
-
-
- Professional Billing Manual Page C-12
-
-
-
- MODERN MICROCOMPUTERS Accounts Receivable Report
-
-
- When you enter 18 <CR> you get the MASTER MENU back once more.
-
- You will use Option 3 at this time to get an accounts receivable report.
- This, along with the transaction report can be used to check for any errors.
- Enter 3 <CR> to select this option.
-
- You will be offered other choices as the next screens show.
-
- *************************************************************************
- * *
- * In which area would you like to work? *
- * *
- * 1 - TRANSACTION FILE SERVICES *
- * Enter/View/Print/Change Transactions *
- * *
- * 2 - CUSTOMER FILE SERVICES *
- * Setup/Change Customer Account Information *
- * *
- * 3 - ACCOUNTS RECEIVABLE AND TRANSACTION CODE REPORT *
- * *
- * 4 - INVOICE/STATEMENT PRINTING - RECORD UPDATING *
- * *
- * 5 - REPORT OF MOST RECENT BILLING *
- * *
- * 6 - PRINT LABELS *
- * *
- * 7 - CONTROL FILE SERVICES *
- * Setup/Change Statement Information *
- * Setup/Change Transaction Codes *
- * *
- * 0 - TO EXIT SYSTEM *
- * *
- * Enter your choice by NUMBER (0 - 6) 3 <CR> *
- * *
- *************************************************************************
- Select to see all transactions and to get a printout.
-
- *************************************************************************
- * *
- * PLEASE WAIT WHILE THE FILES ARE CHECKED *
- * *
- * ACCOUNTS RECEIVABLE REPORT FOR CURRENT TRANSACTIONS *
- * *
- * 31 - SHOW ALL TRANSACTIONS *
- * 32 - SHOW ONLY SUMMARY *
- * 33 - RETURN TO MASTER MENU *
- * *
- * Enter your choice by number (31-33) <31> 31 <CR> *
- * *
- * Do you want a HARDCOPY (Y or N) <N> Y <CR> *
- * *
- * Set your printer to the top of the page. *
- * Depress RETURN to continue <CR> *
- * *
-
-
-
-
-
- Professional Billing Manual Page D-1
-
-
-
- MODERN MICROCOMPUTERS Transaction Code Report
-
- The following report will be produced. It contains the previous balance
- and shows charges and credits to each account. The final balance owed also
- appears and at the end of the report each column is totaled.
-
- *************************************************************************
- * *
- * ACCOUNTS RECEIVABLE PREVIEW *
- * *
- * ACT ACCOUNT NAME OLD BAL CHARGES CREDITS NEW BAL *
- * *
- * 101 ACE HARDWARE CO. 0.00 100.00 MAA *
- * 200.00 FSA *
- * 150.00 PAR *
- * 150.00 *
- * *
- * 102 BIG TIME SHOE COMPANY 0.00 100.00 MAB *
- * 100.00 *
- * *
- * CANDY CRUNCHY CANDY STAND 0.00 100.00 MAB *
- * 30.00 FAB *
- * 130.00 *
- * *
- * 106 D. D. DOING, INC. 0.00 225.00 TPA *
- * 225.00 *
- * *
- * 108 MRS. FRANCINE FARMER 0.00 112.50 TPB *
- * 112.50 PAY *
- * 0.00 *
- * *
- * *
- * *
- * TOTALS 0.00 867.50 262.50 605.00 *
- * *
- *************************************************************************
-
- Please note that accounts 104, COAT, and 107 which had neither beginning
- balances for the previous transaction period nor any transactions for this
- period, did not print.
-
- Now you are offered one more choice. You can have a break-down of the
- billing by transaction code. Answer Y to the question which appears and then
- Y again when given the choice for a HARDCOPY.
-
- *************************************************************************
- * *
- * Do you want the SUMMARY by transaction codes (Y or N) <Y> <CR> *
- * Do you want a HARDCOPY (Y or N) <Y> <CR> *
- * *
- * Set your printer to the top of the page. *
- * Depress RETURN to continue <CR> *
- * *
-
-
-
-
-
-
-
-
-
- Professional Billing Manual Page D-2
-
-
-
- MODERN MICROCOMPUTERS Transaction Code Report
-
-
- A simple report will be produced on the printer.
-
- *************************************************************************
- * *
- * SUMMARY OF MONEY BY TRANSACTION CODES FOR THIS PERIOD *
- * *
- * TRANS. CODE DEBITS CREDITS UNITS *
- * *
- * MAA D 100.00 1.00 *
- * MAB D 200.00 2.00 *
- * TPA D 225.00 3.00 *
- * TPB D 112.50 1.50 *
- * FSA D 200.00 1.00 *
- * PAY C 112.50 1.00 *
- * PAR C 150.00 1.00 *
- * FAB D 30.00 0.50 *
- * *
- * TOTALS 867.50 262.50 *
- * *
- *************************************************************************
-
- Since this looks O.K. and the MASTER MENU is once more on the screen, let
- us move to printing the statements.
-
- The choice should be Option 4 <CR>. The screen will change and you will
- be asked if you have made a backup copy of your data.
-
- *************************************************************************
- * *
- * In which area would you like to work? *
- * *
- * 1 - TRANSACTION FILE SERVICES *
- * Enter/View/Print/Change Transactions *
- * *
- * 2 - CUSTOMER FILE SERVICES *
- * Setup/Change Customer Account Information *
- * *
- * 3 - ACCOUNTS RECEIVABLE AND TRANSACTION CODE REPORT *
- * *
- * 4 - INVOICE/STATEMENT PRINTING - RECORD UPDATING *
- * *
- * 5 - REPORT OF MOST RECENT BILLING *
- * *
- * 6 - PRINT LABELS *
- * *
- * 7 - CONTROL FILE SERVICES *
- * Setup/Change Statement Information *
- * Setup/Change Transaction Codes *
- * *
- * 0 - TO EXIT SYSTEM *
- * *
- * Enter your choice by NUMBER (0 - 7) 4 <CR> *
- * *
- *************************************************************************
-
-
-
-
-
- Professional Billing Manual Page D-3
-
-
-
- MODERN MICROCOMPUTERS Printing the Statements
-
-
- You now get a very important warning. I am sure you have heard of Murphy's
- Law. Well, if Murphy intends to get involved with us, here is where he will
- enter the game. YOU MUST MAKE A BACKUP COPY OF YOUR DATA AT THIS TIME.
- DON'T GET FOOLED INTO THINKING THAT NOTHING CAN GO WRONG.
-
- *************************************************************************
- * *
- * YOU SHOULD BACK UP YOUR CUSTOMER FILE *
- * AND CURRENT TRANSACTION FILE BEFORE *
- * BEGINNING END OF PERIOD PROCESSING. *
- * *
- * HAVE YOU DONE A BACKUP (Y or N) *
- * *
- * *
-
-
- You now have many transactions on the Hard disk. In addition it holds the
- present balances, transaction codes, company information, and client
- information. Much too much information to lose.
-
- MAKE A BACKUP COPY OF THE DATA ON THE DRIVE before going on. In order to
- do this follow the directions as given on the screen. You must have a
- formatted disk in Drive A to receive the backed up files.
-
- After you have the backup copy safely in hand, the system will return you
- to the MASTER MENU. Use Option 4 <CR> and then answer Y <CR> when asked if
- you have made your backup copy. Don't take this step too lightly.
-
- WHEN YOU HAVE THE BACKUP IN HAND CONTINUE ON THE NEXT PAGE.
-
-
-
-
-
-
-
-
-
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-
-
- Professional Billing Manual Page D-4
-
-
-
- MODERN MICROCOMPUTERS Printing the Statements
-
-
- OK, now that you are back to the point of trying to print the statements
- and have typed Y <CR> as response to the question of having made the backup
- copy, you get the following screen which requires a number of responses.
-
- You can now bill your clients in a regular fashion, which means that the
- entries made into the transaction file will create the statements. You get
- statements reflecting what was just produced by the ACCOUNTS RECEIVABLE AND
- TRANSACTION REPORT.
-
- In the event that you would rather bill clients by cycles it is possible
- to create statements for those individuals who are to receive statements in
- a particular cycle provided that you have entered their transactions into
- the transaction file. As an example, imagine the following steps.
-
- 1. You used the TRANSACTION FILE SERVICES to automatically bill clients
- in both cycle 1 and cycle 2.
-
- 2. You now decide to sent statements only to clients in cycle 1 and plan
- to prepare statements for the cycle 2 individuals sometime in the
- future, maybe at the end of the week, rather than today.
-
- It is possible, at this point, to bill only one cycle of the eight
- possible cycles, or to bill only those who are not in any cycle. As you go
- along with the system you may find that this situation becomes handy to
- have.
-
- For now, we are going to send statements to those who we have entered
- using the TRANSACTION FILE SERVICES. You will recall that we did nothing
- with those in cycle 2 and of the eight clients we are concerned ourselves
- with only with five of them. We will prepare statements for all clients.
-
- The first step is to select Regular billing by entering R <CR>.
-
- *************************************************************************
- * *
- * STATEMENT AND INVOICE PRINTING ROUTINES *
- * *
- * Do you want (R)egular billing or, *
- * billing by (C)ycles, *
- * or (Q)uit to Master Menu ? R <CR> *
- * *
-
- You want STATEMENTS, so you enter S <CR>. Had you wanted invoices you
- could make that choice. If you prefer to have nothing printed in the space
- normally showing the word STATEMENT or INVOICE, you can make that choice.
- If you simply depress RETURN at this point you will be returned to the
- Master Menu.
-
- * *
- * Print at Top:(I)nvoices, (S)tatements, or (N)othing (I, S, or N) S <CR>*
- * *
- * Do you want to show Account IDENT. (Y or N) <Y> <CR> *
- * *
-
-
-
-
-
-
- Professional Billing Manual Page D-5
-
-
-
- MODERN MICROCOMPUTERS Printing the Statements
-
-
- You will be shown the current date. If it is the one you want to appear
- on the statements, simply accept it by default. Please change it to
- 04/15/89 using the format MMDDYY and depress the RETURN key.
-
- You are now asked if you want to print for all clients, those with
- current activity or for a single client.
-
- If you indicate that you want all statements for all clients prepared,
- the computer will produce statements for all clients, regardless of whether
- or not they have current outstanding activity.
-
- Choosing the option to prepare statements for those with current activity
- will prepare statements for those who have transactions in the transaction
- file AND those with outstanding balances.
-
- Choosing a single client does just that, prepares a statement for a
- single client. You are asked for the identification code of that client and
- the machine will produce that one statement.
-
- While the statements are being printed, the computer will keep a record
- of the statements being prepared. This creates a file which can be accessed
- using Option 6 on the Master Menu. At the completion of the printing of the
- statements you will also be offered that option.
-
- * *
- * Do you want PRINTING DONE for (A)ll CUSTOMERS, or *
- * those with (C)urrent activity, *
- * or for a (S)ingle CUSTOMER. <A> <CR> *
- * *
- * Do you want to show the QUANTITY on each statement (Y or N) ? N <CR> *
- * *
-
- We also choose not to show the quantity on each statement. Had we
- decided to show the quantity, the computer would ask us what we wanted to
- appear as the heading for the quantity column. You could choose something
- like, HOURS, or possibly UNITS.
-
- We suggest that you review the statements on the screen FIRST, having the
- screen pause after showing each statement. In that way you can check for
- errors. Then, after seeing the statements on the screen, elect to have them
- printed out, BUT, don't have them updated.
-
- With the statements in hand, checked one last time before putting them
- into the envelopes, have the computer prepare them once more for review on
- the screen. Make the election NOT to have the screen stop after each one
- and to UPDATE the records.
-
- Remember, once the records are updated the information in the transaction
- file is lost. If you had to re-do the statements you could use the back-up
- of the files you made just before doing the statements.
-
-
-
-
-
-
-
-
-
- Professional Billing Manual Page D-6
-
-
-
- MODERN MICROCOMPUTERS Printing the Statements
-
-
- Again, we suggest the procedure:
-
- 1. Review the statements on the screen, having the screen pause after
- each statement is shown.
-
- 2. Compare the screen with the report produced by the ACCOUNTS RECEIVABLE
- PREVIEW.
-
- 3. If everything looks good. Have the machine print the statements but
- DO NOT UPDATE the records.
-
- 4. Make a last physical examination of the printed statements.
-
- 5. If the statements are correct, have the machine prepare them one last
- time asking that they be reviewed on the screen. Don't bother to have
- the screen stop after each statement. At this point, UPDATE THE
- RECORDS.
-
- * *
- * Review on SCREEN (Y or N) <N> Y <CR> *
- * *
- * Do you want to have the screen stop after *
- * showing each client (Y or N) <Y> <CR> *
- * *
- * Want to UPDATE all accounts at this time (Y or N) <N> <CR> *
- * *
- *************************************************************************
-
- Let's stop for a moment. You have indicated that you want to prepare the
- STATEMENTS which means that each item produced will show the word STATEMENT at
- the top.
-
- You select to have 4/15/88 appear as the billing date on statements for
- ALL CUSTOMERS.
-
- You are going to view each client, one-by-one, on the screen.
-
- After viewing all the clients you will re-run the procedure, indicating
- that you want a print-out but not to update.
-
- Finally, when you have all the statements, you will re-run the procedure,
- having the statements reviewed on the screen without stopping after each
- one, and at the same time, updating the records.
-
- After you have seen the statements continue on to the next page.
-
-
-
-
-
-
-
-
-
-
-
-
-
-
- Professional Billing Manual Page D-7
-
-
-
- MODERN MICROCOMPUTERS Printing the Statements
-
-
- The second time through the procedure is shown below.
-
- ***************************************************************************
- * *
- * STATEMENT AND INVOICE PRINTING ROUTINES *
- * *
- * Do you want (R)egular billing or, *
- * billing by (C)ycles, *
- * or (Q)uit to Master Menu ? R <CR> *
- * *
- * *
- * Print at Top:(I)nvoices, (S)tatements, or (N)othing (I, S, or N) S <CR>*
- * *
- * Do you want to show Account IDENT. (Y or N) <Y> <CR> *
- * *
- * *
- * Do you want PRINTING DONE for (A)ll CUSTOMERS, or *
- * those with (C)urrent activity, *
- * or for a (S)ingle CUSTOMER. <A> <CR> *
- * *
- * Do you want to show the QUANTITY on each statement (Y or N) ? N <CR> *
- * *
- * *
- * Review on SCREEN (Y or N) <N> <CR> *
- * *
- * Want to UPDATE all accounts at this time (Y or N) <N> <CR> *
- * *
- ***************************************************************************
-
- Now you must make more choices. First, do you want to show statement
- numbers. The machine remembers the last number used and shows what the
- first number should be. You can over-ride this and start with any number
- you want or, decide not to have any number show. We will allow the number
- to be the suggested number, that is number 1.
-
- * *
- * The first statement number will be 1 *
- * *
- * Do you want it to be shown (Y or N) <Y>? <CR> *
- * *
- * If you want to change it, ENTER the NEW number now. *
- * If you want to QUIT, enter 0. Otherwise depress RETURN <CR> *
- * *
-
-
-
-
-
-
-
-
-
-
-
-
-
-
-
-
- Professional Billing Manual Page D-8
-
-
-
- MODERN MICROCOMPUTERS Printing the Statements
-
-
- The screen clears and there is still another choice to be made. The
- choices appear to be self-evident.
-
- Many printed forms available from supply houses are only 7 inches long.
- You might choose to buy these to use with the system. You can even have them
- pre-printed with your company name. This system will only print the company
- name if you entered it into the system. If, when setting up the system, you
- insert blanks for the name, address and phone numbers the machine will leave
- blanks on the statement form. In this way you can use the pre-printed forms
- if you like.
-
- For this time make the choice Option 42 <CR> to print the statements on
- ordinary blank white paper. One final question will want to know if you want
- the form alignment checked. This puts a blank heading on the paper in the
- printer so that you can set up the paper correctly. You don't need to go
- through that at this time so you will respond with, N <CR>.
-
- *************************************************************************
- * *
- * FORM USE : 41 - 8 1/2 inches wide by 7 inches long *
- * 42 - 8 1/2 inches wide by 11 inches long *
- * 43 - One Sheet at a time *
- * 44 - 3" by 5" Continuous cards *
- * *
- * Enter your CHOICE by NUMBER <1> 42 <CR> *
- * *
- * *
- * Set your printer to the top of the paper. *
- * Depress RETURN to continue <CR> *
- * *
- * Do you want FORM ALIGNMENT checked (Y or N) <Y> N <CR> *
- * *
-
- BINGO. THE STATEMENTS PRINT ON THE PRINTER.
-
- One quick point. Option 44 will only be of use if you restrict the
- amount of information that will appear on the 3" x 5" card. You can have a
- maximum of five lines on each card. You can use credit transaction codes
- only if they are limited to one line. Any other transaction code must be
- limited to a maximum of two lines. This allows you to show two debits and
- once credit per client per card. You may find this of limited use but a
- number of individuals running morning newspaper delivery routes have found
- it the best way to bill their clients. You might want to try it out for the
- CRUNCHY CANDY STAND since they meet these conditions. Ask to have the
- machine print a statement for a single client and give the correct
- identification, CANDY.
-
- At the completion of the printing of the statements the screen will
- display the totals and after you depress the RETURN key the screen will
- clear and and the following appears.
-
- The next page shows your first bill. Mr. Goodwrench will be glad to
- receive the statement and probably will pay very quickly.
-
-
-
-
-
-
- Professional Billing Manual Page D-9
-
-
-
- MODERN MICROCOMPUTERS Sample Statement
-
-
- ------------------------------------------------------------------------------
- A. AND B. ACCOUNTING CO. STATEMENT
- 63 SUDBURY LANE 1
- WESTBURY, NEW YORK 11590
- (516) 333-9178 04/15/89
-
- TO: ACCOUNT NO. 101
-
- ACE HARDWARE CO. WE VALUE YOUR BUSINESS AND
- MR. GOODWRENCH STAND READY TO HELP WHENEVER
- 1 FIRST STREET WE CAN. DON'T HESITATE TO CALL
- SMALL TOWN, N.Y. 11220 US WHEN TROUBLE APPEARS.
-
- QUALITY - ACCURACY - PRIDE: WE HOLD THESE VALUES VERY HIGHLY.
-
-
-
- DATE DESCRIPTION CHARGE CREDIT BALANCE
-
- BALANCE FROM LAST BILLING 0.00
-
- 0401 MONTHLY ACCOUNTING SERVICES 100.00 100.00
- 0401 INCOME TAX PREPARATION
- FEDERAL AND STATE FORMS 200.00 300.00
- 0405 PARTIAL PAYMENT RECEIVED.
- THANK YOU. 150.00 150.00
-
-
-
- Total Amount Due 150.00
-
- ------------------------------------------------------------------------------
-
- After the last statement prints and the totals reviewed on the screen you
- are offered the chance to produce a report showing the most recently
- prepared statements. This same choice is on the Master Menu as Option 5.
-
- ***************************************************************************
- * *
- * You can now get a summary listing or print out of the statements *
- * that have just been prepared. *
- * *
- * Do you want this report (Y or N) Y <CR> *
- * *
- * This is the program for viewing or printing a summary report *
- * of the most recently prepared bills. *
- * *
- * Today's date is 04/01/89 Is this O.K. to use (Y or N) <Y> ? 041589<CR> *
- * *
- * PLEASE WAIT WHILE THE FILES ARE CHECKED *
- * *
- * Do you want a HARDCOPY (Y or N) <Y> <CR> *
- * *
-
-
-
-
-
-
- Professional Billing Manual Page D-10
-
-
-
- MODERN MICROCOMPUTERS Recent Billing Report
-
-
- You should now get the following report showing up on your printer.
-
- ***************************************************************************
- * MOST RECENTLY BILLED ACCOUNTS *
- * Today's date : 04/15/89 These bills prepared on : 04/15/89 *
- * *
- * ACCOUNT NAME OLD BAL CHARGES CREDITS NEW BAL *
- * *
- * ACE HARDWARE CO. 0.00 300.00 150.00 150.00 *
- * BIG TIME SHOE COMPANY 0.00 100.00 0.00 100.00 *
- * CRUNCY CANDY STAND 0.00 130.00 0.00 130.00 *
- * MADE-TO-ORDER PARTS 0.00 0.00 0.00 0.00 *
- * W. & T. COAT COMPANY 0.00 0.00 0.00 0.00 *
- * D. D. DOING, INC. 0.00 225.00 0.00 225.00 *
- * EVER-NEAR PLUMBING CO. 0.00 0.00 0.00 0.00 *
- * MRS. FRANCINE FARMER 0.00 112.50 112.50 0.00 *
- * *
- * TOTALS 0.00 867.50 262.50 605.00 *
- * *
- ***************************************************************************
-
- Depressing the RETURN key one more time bring us back to the Master Menu.
-
- Now use Option 4. Indicate you have done a backup and go though the
- STATEMENT AND INVOICE PRINTING ROUTINE again one last time. Now you can
- safely update the records since all the statements in hand and are correct.
-
-
- ***************************************************************************
- * *
- * STATEMENT AND INVOICE PRINTING ROUTINES *
- * *
- * Do you want (R)egular billing or, *
- * billing by (C)ycles, *
- * or (Q)uit to Master Menu ? R <CR> *
- * *
- * *
- * Print at Top:(I)nvoices, (S)tatements, or (N)othing (I, S, or N) S <CR>*
- * *
- * Do you want to show Account IDENT. (Y or N) <Y> <CR> *
- * *
- * *
- * Do you want PRINTING DONE for (A)ll CUSTOMERS, or *
- * those with (C)urrent activity, *
- * or for a (S)ingle CUSTOMER. <A> <CR> *
- * *
- * Do you want to show the QUANTITY on each statement (Y or N) ? N <CR> *
- * *
- * *
- * Review on SCREEN (Y or N) <N> Y <CR> *
- * *
- * Do you want to have the screen stop after *
- * showing each client (Y or N) <Y> N <CR> *
- * *
- * Want to UPDATE all accounts at this time (Y or N) <N> Y <CR> *
-
-
-
-
- Professional Billing Manual Page D-11
-
-
-
- MODERN MICROCOMPUTERS Updating The Records
-
-
- You must verify that you want to update the records.
-
- * *
- * Are you SURE that's what you want to do (Y or N) <N> Y <CR> *
- * *
- * You must now enter the code word to UPDATE the records. DOG <CR> *
- * *
- * *
-
- The statements should virtually 'FLY' by on the screen as each is shown
- and the permanent file updated. You probably can't read them as they go by
- but it is simply a repeat of the work done previously.
-
- The permanent file is now updated. The transaction file is now set back
- to empty waiting to receive transactions during the next transaction period.
-
- At the completion of the printing of the statements you will be returned to
- the beginning of the statement and invoice printing routines. The question as
- to what you want to print will appear. Since you are finished printing,
- simply enter Q for quit and depress the RETURN to move back to the MASTER
- MENU.
-
- ***************************************************************************
- * *
- * STATEMENT AND INVOICE PRINTING ROUTINES *
- * *
- * Do you want (R)egular billing or, *
- * billing by (C)ycles, *
- * or (Q)uit to Master Menu ? Q <CR> *
-
- The MASTER MENU will appear.
-
-
-
-
-
-
-
-
-
-
-
-
-
-
-
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- Professional Billing Manual Page D-12
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- MODERN MICROCOMPUTERS Viewing Customer Data
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- *************************************************************************
- * *
- * In which area would you like to work? *
- * *
- * 1 - TRANSACTION FILE SERVICES *
- * Enter/View/Print/Change Transactions *
- * *
- * 2 - CUSTOMER FILE SERVICES *
- * Setup/Change Customer Account Information *
- * *
- * 3 - ACCOUNTS RECEIVABLE AND TRANSACTION CODE REPORT *
- * *
- * 4 - INVOICE/STATEMENT PRINTING - RECORD UPDATING *
- * *
- * 5 - REPORT OF MOST RECENT BILLING *
- * *
- * 6 - PRINT LABELS *
- * *
- * 7 - CONTROL FILE SERVICES *
- * Setup/Change Statement Information *
- * Setup/Change Transaction Codes *
- * *
- * 0 - TO EXIT SYSTEM *
- * *
- * Enter your choice by NUMBER (0 - 7) *
- * *
- *************************************************************************
-
- Before we end we should return to the CUSTOMER FILE SERVICES menu and use
- Option 28 to sort the files based on the sort key.
-
- The other choices on the CUSTOMER ACCOUNT MAINTENANCE MENU should be
- tried at this time. List the accounts using Option 25 and see how the data
- has changed to reflect each client's balance due, the date of the last
- debit and the date of the last credit. You will also see the new order in
- which the clients are listed.
-
- That is about all there is except for the end of the year information.
- Option 27 allows you to print out an end-of-the-year report showing how much
- each client has been billed during the year and the outstanding balances if
- any. You can then set back the amount billed for the year to 0 and begin a
- new year.
-
- You will also be able to print out the billings by transaction codes and
- will have the option to set these back to zero also. These end-of-the-year
- reports should give you a good picture of your billings.
-
- Of course, you can view the end-of-the-year reports at any time. Just be
- sure that you don't set the values back to 0 before the end of the year.
-
- You can also use Option 22 MODIFY AN EXISTING ACCOUNT on the CUSTOMER
- ACCOUNT MAINTENANCE MENU to review the present condition of any client.
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- Professional Billing Manual Page D-13
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- MODERN MICROCOMPUTERS
-
-
- We hope you enjoy using your system. If you have any questions, please
- contact:
-
- MODERN MICROCOMPUTERS
- 63 SUDBURY LANE
- WESTBURY, NEW YORK 11590
- (516) 333-9178
-
- P.S.: If you like this system we have another one which your clients might
- like. It is a complete Accounts Receivable package which is designed for a
- small business. It produces all the necessary reports they need. Contact us
- if interested.
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- Professional Billing Manual Page D-14
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- MODERN MICROCOMPUTERS Summary of Menus
-
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- MASTER MENU
-
- *************************************************************************
- * *
- * In which area would you like to work? *
- * *
- * 1 - TRANSACTION FILE SERVICES *
- * Enter/View/Print/Change Transactions *
- * *
- * 2 - CUSTOMER FILE SERVICES *
- * Setup/Change Customer Account Information *
- * *
- * 3 - ACCOUNTS RECEIVABLE AND TRANSACTION CODE REPORT *
- * *
- * 4 - INVOICE/STATEMENT PRINTING - RECORD UPDATING *
- * *
- * 5 - REPORT OF MOST RECENT BILLING *
- * *
- * 6 - PRINT LABELS *
- * *
- * 7 - CONTROL FILE SERVICES *
- * Setup/Change Statement Information *
- * Setup/Change Transaction Codes *
- * *
- * 0 - TO EXIT SYSTEM *
- * *
- * Enter your choice by NUMBER (0 - 7) *
- * *
- *************************************************************************
-
- 1 - To enter transactions during the billing period, both debits and credits.
- To printout or view the transactions made during the billing period.
- To change or delete a transaction.
- Produces the sub-menu shown on page M-2.
-
- 2 - To enter data on new customers.
- To change data about customers.
- List customer's names and addresses with associated transaction codes.
- List customer's names and outstanding balances.
- Search the file by customer name.
- Do end-of-year reports.
- Produces a sub-menu shown on page M-3.
-
- 3 - Produces an Accounts Receivable report as a preview before printing
- out customer statements.
- Produces a summary of billings by transaction codes.
-
- 4 - Prints statements.
- Updates the permanent records.
-
- 5 - Produces a report showing a listing of the most recently prepared bills.
-
- 6 - Produces labels for all customers or only those with balances.
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- Professional Billing Manual Page M-1
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- MODERN MICROCOMPUTERS Summary of Menus
-
-
- 7 - To enter or change your company information.
- To enter or change descriptive lines on statements.
- To enter or change Transaction codes.
- Produces sub-menu shown on page M-4.
-
- TRANSACTION SERVICES MENU
-
- *************************************************************************
- * *
- * TRANSACTION SERVICES MENU *
- * You may now : *
- * *
- * 11 - START A NEW TRANSACTION FILE *
- * *
- * 12 - AUTOMATIC TRANSACTION ENTRY *
- * *
- * 13 - ADD INDIVIDUAL TRANSACTIONS TO THE FILE *
- * *
- * 14 - MODIFY A TRANSACTION ENTRY *
- * *
- * 15 - DELETE A TRANSACTION ENTRY *
- * *
- * 16 - LIST TRANSACTION FILE *
- * *
- * 17 - LIST TRANSACTION CODES *
- * *
- * 18 - RETURN TO SYSTEM MENU *
- * *
- * Enter your CHOICE by NUMBER (11-18) *
- * *
- *************************************************************************
-
- 11- Starts a new file for the transaction period. Used ONLY during the set-
- up of the system. Function is automatically performed thereafter by
- the computer.
-
- 12- Produces transactions for those customers with associated transaction
- codes. Generally for those with constant billing.
-
- 13- Allows individual transactions for any customer, both debits and credits.
-
- 14- To change a transaction entry.
-
- 15- To delete a transaction entry.
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- 16- To print or view all transactions.
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- 17- To print or view the transaction codes.
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- Professional Billing Manual Page M-2
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- MODERN MICROCOMPUTERS Summary of Menus
-
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- CUSTOMER ACCOUNT MAINTENANCE MENU
-
- *************************************************************************
- * *
- * CUSTOMER ACCOUNT MAINTENANCE MENU *
- * *
- * You may now: *
- * *
- * 21 - ADD NEW ACCOUNTS TO FILE *
- * *
- * 22 - MODIFY AN EXISTING ACCOUNT *
- * *
- * 23 - LIST ACCOUNT NAMES AND ADDRESSES *
- * *
- * 24 - SEARCH FILE BY ACCOUNT NAME *
- * *
- * 25 - LIST ACCOUNTS, BALANCES AND TOTAL OUTSTANDING *
- * *
- * 26 - RE-INITIALIZE CUSTOMER FILE *
- * *
- * 27 - END OF YEAR REPORTS *
- * *
- * 28 - SORT FILE USING SORT KEY *
- * *
- * 29 - RETURN TO MASTER MENU *
- * *
- * Enter your CHOICE by NUMBER (21-29) *
- * *
- * *
- *************************************************************************
-
- 21- Enter information on customers. Enter associated Transaction code.
-
- 22- Change any information about a customer.
-
- 23- View or print the customers by name and address and associated
- transaction codes.
-
- 24- Find a customer by name.
-
- 25- View or print the customers by name, address and outstanding balance.
-
- 26- Remove all information from Master File. NEVER used after setting up
- your system. Use only while trying out the system with dummy data.
-
- 27- View or print the customers by name along with yearly billing to date
- and any outstanding balance. Gives all totals.
- View or print the transaction codes showing how much was billed.
- Also can set back values for the beginning of a new year.
-
- 28- Allows you to sort the client list. Key is made up of two letters and
- one number. ME4 is sorted before ME5. We suggest you use the two letters
- of the company name and a 5 for the first with those two letters. Others
- with the same two letters can have higher or lower numbers.
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- Professional Billing Manual Page M-3
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-
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- MODERN MICROCOMPUTERS Summary of Menus
-
-
- CONTROL FILE MAINTENANCE MENU
-
- *************************************************************************
- * *
- * CONTROL FILE MAINTENANCE MENU *
- * *
- * You may now: *
- * *
- * 61 - INITIALIZE MASTER FILE *
- * *
- * 62 - CHANGE STATEMENT HEADER INFORMATION *
- * *
- * 63 - SET UP OR ADD NEW TRANSACTION CODES *
- * *
- * 64 - CHANGE A TRANSACTION CODE *
- * *
- * 65 - LIST THE TRANSACTION CODES *
- * *
- * 66 - RETURN TO MASTER MENU *
- * *
- * *
- * Enter your CHOICE by NUMBER (61-66) _ *
- * *
- *************************************************************************
-
- 61- Use ONLY on initial set up of system. USE OF THIS FUNCTION REMOVES
- ALL INFORMATION FROM THE MASTER FILE. ALL YOUR RECORDS WILL BE LOST.
-
- 62- Allows you to change the descriptive information on the statements.
-
- 63- To enter transaction codes.
-
- 64- To change a transaction code.
-
- 65- To view or print the transaction codes.
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- Professional Billing Manual Page M-4
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- MODERN MICROCMPUTERS INDEX
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-
- TOPIC Section-Page
-
- Accounts Receivable Report D-1
- Adding New Clients B-6
- Adding Transaction Codes B-1
- Adding Transactions to file C-4
- Alignment of Statements D-9
- Assigning Client Numbers B-6
- Associated Transaction Codes I-2, R-5, B-2, B-3, C-4
- Attention Line in Address B-2
- Automatic Billing I-2, I-3, R-5, C-3
- Automatically Creating Transactions C-3
- Automatic Transactions R-5, C-3
-
- Backing Up Client Data R-3, D-4
- Backing Up Disks R-3
- Back Up R-6
- Balance Due Report B-13
- Batch File, BILLING I-1
- Billing Cycles I-2, R-5, D-5
- Billing Explanations I-2, A-6, A-8
- Billing, On-The-Fly I-2
- Billing Report I-4
- Bold Print R-6
-
- Carriage Return R-1
- Center Of Statement Comment A-5
- Changing Code Word S-4
- Changing Transaction Codes A-8, B-1
- Changing Unit Amount During Entry C-7
- Changing Quantity During Entry C-6
- Changing Statement Comments B-1
- Changing Transactions C-11
- Changing Unit Amount During Entry C-6
- Checking Statement Alignment D-9
- Client Data Backup R-3, D-4
- Client Files, Updating D-11
- Client Identification Codes B-6
- Client Identification Numbers B-6
- Clients, Adding to file B-6
- Code Word S-4, A-3
- Comment Lines A-4, A-5
- Control-C, CTRL-C S-2
- Control File Maintenance Menu A-2, A-7, M-4
- <CR> R-1, R-6, A-1
- Current Activity Customers D-6
- Customer Account File Listing B-12
- Customer Account Maintenance Menu B-5, M-3
- Customer Identification Codes R-5
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- Professional Billing Manual INDEX-1
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- MODERN MICROCMPUTERS INDEX
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- TOPIC Section-Page
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- Daily Transaction File C-5, C-10
- Dates S-3
- Default R-2, R-6
- Deleting a Transaction C-11
- Disk R-7
- Diskcopy S-2
- Diskette R-7
- Dollar Sign R-2
- DOS Disk S-2
- Drive R-7
- Duplicating Disks I-3
-
- End Of Year Reports D-13
- Enter Key R-1, A-1
- Entering Client Information B-2, B-6
- Entering Code Word S-4
- Entering Company Information A-4
- Entering Credits C-11
- Entering Dates S-3, C-1
- Entering Individual Transactions C-5
- Entering Statement Comments A-5
- Entering Transaction Codes A-9
- Error Messages R-7
- Explanations, Billing I-3, A-6, A-8
-
- Floppy Disk R-2
- Formatting Disks R-3, R-7
-
- Handling Diskettes I-1, R-3
- Hardcopy R-2, R-7, A-13
- Hard Disk R-2
-
- Identification Codes, Customer R-5
- Initializing the Master File A-2, A-3, B-1
- Initializing the Customer File B-5
- Initializing the Transaction File C-2
-
- Keyboards R-1
-
- Labels I-2, R-4
- Limits to Entry Length A-4
- Listing Clients B-11, B-13
- Listing Transaction Codes A-12,
- Listing Transaction File C-11
- Location of Data S-3
- Location of Programs S-3
-
- Master Disk S-2
- Master Menu A-1, B-2, C-1, D-1, M-1
- Menus R-2, M-1
- MMDDYY S-3
- Modifying Existing Transactions C-11
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- Professional Billing Manual INDEX-2
-
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- MODERN MICROCMPUTERS INDEX
-
-
-
- TOPIC Section-Page
-
- <N> R-6, A-1
-
- On-The-Fly Code Creation I-2, C-8
- Original Disks R-4, S-2
- Outstanding Balance Report B-13
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- Past Due Report B-13
- Preparing Input Data I-3
- Pre-Printed Forms R-6
- Primary Client Name B-6
- Printing Statements/Invoices D-5
- Printing Transaction Codes A-12
- Prompt R-7
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- Quantity Heading D-6
- Question Mark R-1
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- RAM R-2
- Random Access Memory R-2
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- Recent Billing Report D-11
- RETURN key R-1, A-2
- Reviewing On Screen D-7
-
- Sample Statement A-4, D-10
- Secondary Client Name B-2, B-6
- Skipping Clients C-5
- Sorting Codes I-3, B-2, B-3
- Sorting the Clients D-13
- Starting a Transaction File C-2
- Statement Comments A-4
- Statement Heading A-4
- Statement Forms I-2, R-6, D-9
- Statement Numbers D-8
- Statement Printing D-5
- Statement Printing Options D-5, D-6, D-7, D-8
- Statement Sizes I-2, R-6, D-9
- Sub-Directory, BILLING I-1
- Sub-Menu R-2
-
- Transaction Code Report D-2
- Transaction Codes I-4, R-5, R-7, A-6
- Transaction Codes, Associated R-5, B-3, B-7, B-10, C-3
- Transaction Codes, Changing B-1
- Transaction Code, Creation I-2
- Transaction Codes, Listing A-13
- Transaction Codes, Printing A-13
- Transaction Entry and Report Routine C-1
- Transaction File, Adding to C-5
- Transaction File, Daily work C-2, C-5, C-10
- Transaction File, Listing C-2, C-11
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- Professional Billing Manual INDEX-3
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- MODERN MICROCMPUTERS INDEX
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- TOPIC Section-Page
-
- Transaction File, Initializing C-2
- Transaction Period R-7
- Transaction Services Menu C-2, M-2
- Transactions, Adding to file C-5
- Transactions, Changing C-11
- Transactions, Automatically Creating C-4
- Transactions, Automatic Entry R-5, C-3
- Transactions, Entering Individual C-5
- Turning off the Computer R-7
- Turning on the Computer R-7
-
- Updating Client Files D-11
- User Diskette I-1
- Upper Case S-1
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- Write-Protect Tab I-1
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- <Y> R-2, R-6, A-1
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- Professional Billing Manual INDEX-4
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- MODERN MICROCOMPUTERS - PROFESSIONAL BILLING SYSTEM ADDENDUM
-
-
- If you find that there are changes in any of the menus they should be easy
- enough to understand. MODERN MICROCOMPUTERS is constantly updating the
- programs on the advice of the users. If you have comments or suggestions for
- improving the programs, please do not hesitate to contact us with your ideas.
- You can reach us at (516) 333-9178. If no one is available, simply leave your
- message. You can talk as long as you like in explaining your ideas since the
- answering machine is set to disconnect only when you hang up.
-
- RECOVERY OF BACKED UP FILES
-
- To make the recovery you must end the program. While in the BILLING sub-
- directory at the C:> prompt, simply type RECOVER <CR>. The backed-up
- information will be transferred from the floppy in Drive 'A' to the Hard Disk
- which is Drive C. After the recovery is finished the system will move to the
- first menu and you can then check to be sure all information is the way you
- want it.
-
- Since the original manual was produced there are been some additions made
- to the programs. We are continually trying to improve the product. Most
- suggestions come from our users. If you have any suggestions for new
- features, please do not hesitate to contact us with your ideas.
-
- You will note that there are some slight changes in some of the MENU
- presentations. Don't be overly concerned. Most of the changes are self-
- evident.
-
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- BILLING BY SELECTED CYCLES
-
-
- You can now bill and update records by selected cycles. Not only can you
- add transactions to the temporary transaction file by cycles, you can now
- produce invoices and/or statements for selected cycles without disturbing the
- other data in the transaction file.
-
- As an example, suppose you had automatically added cycles 1, 2, 3, and 4 to
- the transaction file along with some manual entries. When it comes time to
- send out statements you have a choice of billing everyone, all those with
- current activity or a single client. In addition, you can bill only those in
- a specific cycle or only those that are not in any cycle. It would therefore
- be possible to send statements to those in cycle 2 for example, without
- sending statements to the others in the transaction file. You can also update
- the permanent file for those individuals in a specific cycle without updating
- the permanenet file with others still in the transaction file.
-
-
- If you have questions, DON'T HESITATE TO CALL. (516) 333-9178.
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- Professional Billing Manual ADDENDUM PAGE 1