Title: Sage Accpac 5'4 Financial Suite
1Sage Accpac 5.4Financial Suite
- Presented by Nancy Pearce
2General Ledger
- New in 5.4 - Account Groups icon
- Allows creation of an unlimited number Accounts
Groups and Sorting Orders to create finer
divisions for your business reports - Available in ERP 200 and 500, 100 uses Standard
Groups. - Financial Reporter QuikBal and QuikInc reports
can be easily altered to include new Account
Groups and summarize by Account Group - Trial Balance or Transaction Listing reports can
be run by Account Group or Sort Code Range - Various Account Groups can have the same Sort
Code - New Account Group codes can have a maximum of 12
characters - Change the description of the standard Account
Groups - Delete Account Groups
3Use Account Groups must be turned on in GL
Options, Account
4Standard Account Groups have been given
numbersie Current Assets 01
5Create new Account GroupsG/L SetupAccount Groups
6- New Accounts can consist of alphabetical or
numerical characters, or a combination, can have
a maximum of 12 characters (ie OFFICEEXP) - The sample account groups are labelled 01 to 16
you can continue with the numbering system or
create one of your own. - If an account does not have a specified Account
Group, it will belong to a new standard blank
account group called Unclassified Accounts
Group with the Sort Code of ZZZZZZZ - Change the description of the standard Account
Groups - Delete Account Groups
7- Additional field Sort Code used to specify the
sort order or to sort Account Groups together - Change Sort Codes button to change the order that
accounts appear or to insert new account groups
within an existing order.
8Change Sort Codes - Use New Sort Code List
9Using Account Groups or Sort Orders as report
criteria onTrial Balance and Transaction Listing
reports
Account Group 01 to 01 will not include the new
Receivables Account Group 20
10Select Account Groups By Sort Code Range option
This Sort Code range will include the new
Receivables Group code 20 which has Sort Code 01
11Alter the Financial Reporter QuikBal and QuikInc
to meet your specific business needs
- Added more Account Group lines
- Added a general description instead of the
Account Description - Changed column D to Total instead of report
Details by Account
12New in 5.4 Improved integration with General
Ledger from the sub ledgers
- From within the subledger Setup (ie Accounts
Payable) - Choose G/L Integration
- Post General Ledger batches automatically
13Transactions page - Include additional fields in
the General Ledger batch
14Click on a Transaction Type and click Open
15- G/L Entry Description Field seen in G/L Batch
and on Batch List report - G/L Detail Reference Field 2nd line on GL
Transaction Listing report - G/L Detail Description Field 1st line on GL
Trans action Listing report - G/L Detail Comment Field Comment field on
detail lines in G/L Batch List only - Transaction Listing report has 40 characters
available for these details before truncating. - Focus on making the changes to the Detail
Transaction Types as this will include the G/L
detail lines. Otherwise, only the control
accounts will have the new fields.
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20Accounts Payable
- Invoice Entry Screen
- Settings - Quick Entry Mode allows you to choose
fields to copy to the next entry - Keeps the same Vendor code and document type
- Options to select other fields
- Also available in AR Invoice Entry
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22Payment Entry Screen
- Cash Invoices Misc. Payment now allows entry
of an invoice (with taxes) to a Vendor and apply
a payment at the same time for on-the-spot
settlement of a Cash Invoice - This feature is also available in Accounts
Receivable Receipt Entry
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24- Reversal of these Misc. Payments will behave the
same as if an invoice and a payment had been made
separately only the Payment is reversed, the
Invoice remains as unpaid - Reversal of Misc. Payments entered without a
Vendor behave as before both the payment and the
GL disbursement are reversed. - Misc. Payments to a Vendor are not tracked
differently, they are treated as two separate
entries Invoice and Payment
25Accounts Receivable
- Receipt Entry Screen
- Deposits are now reported to Bank Services at
entry level instead of batch level to allow
reconciliation by individual deposit entry. The
entry date, not the batch date will be used to
determine the bank statement period it will show
in
26- For Example
- Batch date September
- Entry 1 date August 200.00
- Entry 2 date June 100.00
- June Bank Reconciliation will show the Batch date
of September but only 100.00 - August Bank Reconciliation will show the Batch
date of September and 300.00
27Receipt Printing
- Print a Receipt from a Receipt Entry
- Detail format is similar to a Statement, showing
the Invoices paid - Summary format shows only the amount received,
not what it was applied to
28Refunds to Customers
- Process a refund for customers using the Customer
Refunds feature and specify the receipt method
cheque, cash, or credit card. - Use the Refund Inquiry screen for lookups.
29- A credit amount must exist
- Print the cheque directly from AR Refund Entry or
the AR Refund Batch List
30Tips and Tricks
- Use the Quick Mode on GL Entries to repeat the
Reference and Description on the next line - Finders Go to Filter First
- Print Destination Letter in 5.3 and higher
- Enter key in data entry grids
31Help!
- Your Accpac manuals are available from Help,
Online Documentation or Start Menu - Per installed module
- User Guide
32Questions?