IdealWare Online Users ManualGL2-01 G/L PROCESSING |
┌────────────────────────────────────────────────────────────────────────────────â”
│06/20/95 TF4 ***** G/L JOURNAL ENTRY ***** 2LJEI1 │ │ │ │ │ │ │ │ COMPANY NUMBER: 01 IDEALWARE │ │ BATCH NUMBER: 0006 << NEW BATCH >> │ │ │ │ JOURNAL: J/E │ │ DESCRIPTION: GENERAL JOURNAL ENTRY │ │ G/L PERIOD: 95/06 THIS YEAR PERIOD 6 │ │ │ │ │ │ │ └────────────────────────────────────────────────────────────────────────────────┘ |
FIELDS
Defaults to the current company number.
Defaults to the next available batch number.
Enter the desired journal code.
The journal code is a "batch type" identifier that is displayed in the general ledger report and inquiry. Other programs that affect the general ledger each have their own journal code (for example the inventory adjustments journal code is YJ).
[Enter] to accept the default journal code J/E.
[F4] to exit the program.
[F5] to display batch control inquiry for selection.
Enter the desired batch description.
This description does not get updated to any files but is simply associated with the batch control.
[Enter] to accept the default GENERAL JOURNAL ENTRY.
Enter the desired G/L period.
This is the period to which all of the transactions in the batch will get posted. For example, if the G/L period for the batch is 07/07, all transactions in the batch regardless of their transactions dates will get posted to 07/07 and the financial statements for 07/07 will be affected.
[Enter] to accept the default current G/L period.
PROCEDURE - BATCH ACCESS
If there are open journal entry batches, the first batch is displayed.
Example General Ledger Journal Batch Header display:
┌────────────────────────────────────────────────────────────────────────────────â”
│06/20/95 TF4 ***** G/L JOURNAL ENTRY ***** 2LJEI1 │ │ │ │ │ │ │ │ COMPANY NUMBER: 01 IDEALWARE │ │ BATCH NUMBER: 00076 │ │ │ │ JOURNAL: J/E │ │ DESCRIPTION: GENERAL JOURNAL ENTRY │ │ G/L PERIOD: 95/06 THIS YEAR PERIOD 6 │ │ │ │ │ │** PRESS F1 TO START, F2 FOR NEXT BATCH, F3 TO CHANGE ABOVE, F4 TO END: _ │ │ PRESS F5 FOR BATCH INQUIRY. │ │ │ └────────────────────────────────────────────────────────────────────────────────┘ |
[F1] to process the displayed batch.
See PROCEDURE - DATA ENTRY.
[F2] to display the next open batch.
By pressing [F2] after the last open batch on the system, you are put into batch creation mode.
[F5] to display batch inquiry for selection.
The batch inquiry displays all open batches in the system.
PROCEDURE - DATA ENTRY
When you select [F1] at the batch header of a new or existing batch you are taken to the data entry screen, with the cursor in the SEQ# field of the first line of a new batch or the next available line of an existing batch.
Example General Ledger Journal Entry display:
┌────────────────────────────────────────────────────────────────────────────────â”
│JOURNAL: J/E ***** G/L JOURNAL ENTRY ***** PERIOD: 95/06│ │────────────────────────────────────────────────────────────────────────────────│ │BATCH: 0008 DEBITS: 10,000.00 CREDITS: 10,000.00 LEFT: .00DR│ │────────────────────────────────────────────────────────────────────────────────│ │SEQ# DV,ACCT,SUB REF# DATE DESCRIPTION -----AMOUNT----│ │────────────────────────────────────────────────────────────────────────────────│ │0001 00 1111 12144 06/01/95 TRANSFER FROM BANK 10,000.00DR│ │0002 00 1110 12144 06/01/95 TRANSFER FROM BANK 10,000.00CR│ │ │ │ │ │ │ │ │ │────────────────────────────────────────────────────────────────────────────────│ │CR FOR NEXT, F2 TO DISPLAY, F3 FOR BATCH HEADER, F4 TO EXIT, │
│F5 TO PRINT, F6 TO CLOSE, F7 TO POST, F8 TO ABORT. │
│ │ └────────────────────────────────────────────────────────────────────────────────┘ |
[Enter] to add a new line.
The program steps you through each data entry field (see FIELDS below).
[F2] to display all lines.
After pressing [F2] enter a sequence number from which to start the display of lines.
[F3] to access batch header.
[F4] to exit the batch.
The batch remains open.
[F5] to print the register.
See 28522 JOURNAL REGISTER/POSTING.
[F6] to close the batch.
The batch can be re-opened at any time (see 28523 RE-OPEN CLOSED BATCH).
[F7] to print the register.
After the register is printed you have the option to post (update) of the batch (see 28522 JOURNAL REGISTER/POSTING).
[F8] to abort the batch.
All data entered in the batch is discarded.
FIELDS
[Enter] to add a new line.
This defaults to the next available sequence number.
#+[Enter] to display the line requested.
After displaying the selected line, enter "D" to delete the line or press [Enter] to continue to the next line.
[F2] to display all lines.
After pressing [F2] enter a sequence number from which to start the display of lines.
[F4] to exit the batch.
The batch remains open.
Enter the appropriate division code.
[Enter] to default to the previously entered division code.
Enter the general ledger account code to post.
[F5] to display general ledger codes for selection.
Enter the reference (for example, a cheque number).
The reference is displayed in the general ledger inquiry for each transaction.
[Enter] to default to the previously entered reference.
[F2] to clear the reference.
Enter the amount.
If a credit, follow the amount by [F2] instead of [Enter] or prefix with a minus sign.
[Enter] to accept the remaining amount.
After each entry this field defaults to the amount required to get the batch balance to zero.
Enter the description.
The description is displayed in the general ledger inquiry for each transaction.
[Enter] to accept the the previously entered description.
[F2] to clear the description.
PROCEDURE - REGISTER AND POSTING
See 28522 JOURNAL REGISTER/POSTING.