IdealWare Online Users ManualAP5-11 A/P LISTINGS, REPORTS AND FORMS |
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│08/14/07 ***** PRINTER SELECTION ***** │ │ │ │ │ │** MAKE SURE PRINTER IS READY BEFORE PRESSING CR ..... │ │ │ │1. PRINTER NAME ................................. P1 OKIDATA 390 │ │ │ │2. CHARACTERS PER INCH ? (10,12,17) ............. 10 │ │ SINGLE OR DOUBLE DENSITY ? (S,D) ............. S SINGLE DENSITY │ │ │ │** PRESS CR TO SET PRINTER, OPTION# TO CHANGE, F4 TO END (BYPASS): _ │ │ │ └────────────────────────────────────────────────────────────────────────────────┘ |
"1" to change printers.
"2" to change the CPI and/or print density.
[Enter] to print.
[F4] to not print and exit to the menu.
[F5] to display a list of printers for selection.
An example Accounts Payable Outstanding Cheques Report follows.
IDEAL BUILDING SUPPLIES LTD. 08/30/96 13:06:07 PAGE: 1 OUTSTANDING CHEQUES REPORT FOR CANADIAN FUNDS () ------------------------------------------------------------------------------------------------------------------------ CHEQUE DATE DESCRIPTION #1 DESCRIPTION #2 AMOUNT ------------------------------------------------------------------------------------------------------------------------ 000001 07/23/96 ACKLA - INV#543211234 PQ0001 - 000007 .00 001200 08/07/96 DEWERS 4,500.00 001201 08/07/96 HOBARTS 345.00 001202 08/07/96 ACKLANDS 3,578.00 001203 08/07/96 BURNABY OFFICE SUPPLY 2,635.00 001204 08/09/96 DEWERS 2,300.00 001205 08/09/96 METRO 3,575.00 001206 08/09/96 DEWERS 1,200.00 001207 08/09/96 METRO 2,150.00 001208 08/09/96 CINDU 1,235.00 001234 07/08/96 ACKLA - INV#543211234 PQ0001 - 000007 214.00 ------------- REPORT TOTALS: RECORDS: 11 21,732.00 ============= FIELDS: CHEQUE cheque number DATE date of cheque DESCRIPTION#1 description - supplier and/or invoice DESCRIPTION#2 description - batch and/or folio AMOUNT amount of cheque