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EXHIBIT A
TM
SupportPlus
Program
The following terms and conditions govern the relationship between Client and ACCPAC International,
Inc. (ACCPAC) with regard to the services to be supplied for the Products.
2.
Silver provides product upgrades and updates; TechnoPedia; and callback support technician
service up to 12 issue resolutions (North America Only)
Gold provides product upgrades and updates; TechnoPedia; callback support technician service;
unlimited issue resolutions; support analyst service; system analysis service; environment profile;
orientation and quarterly review (North America Only)
3.
Products: Client must be on the then-current version of the Product to purchase SupportPlus. Client
represents and warrants that the Products included are all the Products currently licensed from
ACCPAC.
4.
SupportPlus Fee: The SupportPlus fee (Fee) will be based on the then-current list price. Multi-year
options are also available. ACCPAC agrees to invoice the Client for the Fee forty-five (45) days in
advance of the due date. Client agrees to pay the Fee as invoiced. Fees are non-transferable and nonrefundable.
5.
Lapsed SupportPlus Coverage: To resume SupportPlus coverage after a lapse, Client must purchase a
minimum of one (1) full year of Service and pay a Reinstatement Fee. The Reinstatement Fee will be
ten percent (10%) of the then-current Fee for each month of lapsed coverage, as well as a surcharge of
ten percent (10%) of the Fee.
6.
Upgrades: Clients who are not current on SupportPlus and desire to purchase a Product upgrade may do
so by contacting an ACCPAC Business Partner (ABP).
7.
Term of Agreement/Renewal: This Agreement shall commence on the first date payment is received by
ACCPAC and will continue for the period set forth on the invoice (Term), but in no event less than
twelve (12) months or until terminated by providing ACCPAC with thirty (30) days written notice. The
Fee is not refundable.
8.
Additional Services: Additional services may be purchased at ACCPACs then-current published rates.
All expenses incurred by ACCPAC, including reasonable transportation and lodging, shall be paid for
by Client. The Fee and availability of international on-site visits shall be determined on a case-by-case
basis.
9.
Audit: Client shall permit ACCPAC and its representatives and agents to conduct periodic audits of
Clients Products.
10. Client Responsibility: Client is responsible for maintaining the security of its Client ID number. Under
no circumstance shall Client allow persons other than employees of ABPs of Record to use its Client ID
number. Clients ABP may be changed at any time by completing the Change of Business Partner of
Record Designation Form.
11. Limitations: ACCPAC shall have no obligation to support altered, damaged or modified Product, or to
remedy problems caused by: (i) Clients negligence, abuse or misapplication of the Product; (ii) use of
the Product other than as specified in the ACCPAC documentation; or (iii) hardware malfunctions,
software not licensed by ACCPAC, or Product which is not the then-current release. Client agrees, at its
expense, to assist ACCPAC in its obligations hereunder by providing documentation of problems and
test data. ACCPAC shall have no obligation to resolve problems if Client fails to reasonably cooperate.
Support shall be provided in the English language, except as otherwise agreed by the parties and subject
to payment of any additional fees required by ACCPAC in connection therewith.
12. Limitation of Liability: ACCPAC liability for damages from any cause of action whatsoever relating to
ACCPACs agreement to provide services shall be limited to the amount paid by Client for the services
for the applicable year. ACCPACs liability shall be further limited as provided in the End User License
Agreement between Client and ACCPAC for the Product, which may be either a signed agreement or
electronic end-user license accompanying the Product (respectively EULA).
If Client breaches any of the terms, conditions or provisions of this Exhibit A, and fails to cure such
breach within thirty (30) days after written notice thereof, ACCPAC shall have the right to
terminate the Services without further notice.
b)
In the event of Clients breach, ACCPAC may, in addition to the right to withhold its performance
under and/or terminate this Agreement, avail itself of all other rights, remedies and causes of action
available at law, in equity or otherwise, against such party for damages as a result of such breach.
Unless otherwise provided in this Agreement, remedies shall be cumulative and there shall be no
obligation to exercise a particular remedy.
c)
Any expiration or termination of this Agreement shall not prejudice, limit, or restrict any other
rights or remedies either party may have arising prior to such expiration or termination. ACCPAC
shall be under no obligation to refund any amounts paid by Client.
Contents
Chapter 1: Introducing the User Guide
How to Use This Guide ......................................................... 11
How to Use the General Ledger and Financial Reporter Manuals ................... 12
The General Ledger Getting Started Manual .................................. 12
The General Ledger User Guide ............................................. 13
The Financial Reporter User Guide........................................... 13
Where To Now ................................................................ 13
User Guide
iii
220
222
223
224
225
225
226
226
227
228
228
229
230
iv
User Guide
Chapter 6: Reports
Printing Reports and Financial Statements ....................................... 62
Audit Reports and Listings ..................................................... 63
Viewing G/L Reports ...................................................... 63
Report Icons and Forms .................................................... 63
Chart of Accounts ............................................................. 64
Trial Balance .................................................................. 69
Transactions Listing .......................................................... 614
vi
User Guide
C1
C2
C3
C4
C4
C5
C6
C6
C6
vii
Index
viii
E1
E1
E2
E5
E6
E7
E7
Introducing
the User Guide
Chapter 1
Introducing the User Guide
This chapter introduces you to the General Ledger User Guide. The
User Guide contains an overview of General Ledger processing as
well as detailed information about the day-to-day and periodic
operations of General Ledger.
User Guide
11
12
Converting from
ACCPAC Plus
General Ledger
Where To Now
Read Chapter 2, What You Need to Know Before Using General
Ledger, in this guide for an overview of General Ledger
processing. Refer to Chapter 3, Maintaining Accounts, Chapter
4, Transaction Processing, Chapter 5, Periodic Processing,
and Chapter 6, Reports, in this guide for information about
using particular General Ledger maintenance, processing, and
reporting functions.
User Guide
13
Introducing
the User Guide
Where To Now
Before Using
Chapter 2
What You Need to Know
Before Using General Ledger
Sources of General Ledger Batches ............................................... 22
Posting........................................................................ 23
Provisional Posting ......................................................... 24
Processing Multicurrency Transactions ....................................... 25
General Ledger Transaction Processing Chart ................................. 27
Creating General Ledger Journal Entry Batches ................................... 27
Journal Entries and Details .................................................. 28
Using the Journal Entry Form ............................................... 29
Information Posted with Each Batch ........................................ 210
If the Batch Contains Errors ................................................ 211
Creating Other General Ledger Batches ......................................... 212
Allocation Batches ......................................................... 212
Revaluation Batches ....................................................... 214
Export Batches for Reuse ................................................... 216
Batches from ACCPAC Advantage Series and ACCPAC Plus Subledgers ....... 217
Imported Batches ......................................................... 218
Recurring Entries.......................................................... 219
Posting Batches ............................................................... 220
Posted Transactions ....................................................... 222
Posting Journal ........................................................... 223
Posting Batches to a Previous Year .......................................... 224
Reviewing Batches ............................................................ 225
Displaying Batches ........................................................ 225
Printing Batches ........................................................... 226
Period End and Year End ...................................................... 226
Create New Year .......................................................... 227
Period End Maintenance ................................................... 228
Consolidate Posted Transactions ............................................ 228
User Guide
2i
2ii
Before Using
Before Using
Chapter 2
What You Need to Know
Before Using General Ledger
This chapter provides general information about creating,
posting, and reviewing batches of accounting transactions. It
discusses periodic procedures such as clearing obsolete history
and making your data ready for a new fiscal year.
Chapter 4, Transaction Processing, and Chapter 5, Periodic
Processing in this manual describe in detail the forms you use
for processing General Ledger.
For an explanation of General Ledger account structure and data
processing options, see Chapter 2, What You Need to Know
Before Setting Up General Ledger, in the Getting Started
manual.
All transactions are
entered in batches
Transactions are
Journal Entries
User Guide
21
22
Posting
Posting
Until you post batches, you can look at, change, add, and delete
transactions in a General Ledger batch.
You control
batch editing
Posting sequence
number
To make sure your batches are error-free before you post them,
turn on the option to force listing of batches. This option forces
you to print each batch before posting it, and gives you the
opportunity to correct errors before posting.
User Guide
23
Before Using
Posting
Provisional Posting
If you want to test the effects of posting before you actually post
transactions to ledger accounts, use General Ledgers provisional
posting feature (available in Enterprise and Corporate Editions
only).
Provisional posting lets you post a batch temporarily without
deleting the batches. You can print financial statements with and
without the provisional transaction totals, and you can continue
editing the batches until you post them permanently.
Provisional postings are unposted each time you perform a
normal posting. You must post an open batch provisionally
whenever you want to see the effects of posting temporarily.
To post provisional batches in your General Ledger, you select
the option to allow provisional posting. This option is described
in Chapter 3, Setting Up General Ledger, in the Getting Started
manual.
Provisional posting
sequence numbers
24
Posting
Single-currency and
multicurrency
subledgers
Setting up a
multicurrency ledger
User Guide
25
Posting
Converting to the
euro
2.
3.
26
Create
Batches
Journal
Entry
Batch
ACCPAC
Subledger
Batch
Revaluation
Batch
ist
atches
Allocation
Batch
NonACCPAC
Batch
Recurring
Entry
Batch
Yes
No
Post
Batches
Post Batch
Does the batch contain errors?
Yes
No
Print
Posting Journal
Source Journals
G/L Transaction Listing
Batch Status Report
Financial Statements
User Guide
27
Before Using
Debit
Credit
%DQN $FFRXQW
Debit
Credit
28
All the details for a single journal entry are posted to a single
fiscal period. A single batch can include journal entries and
details for different periods or years. However, it is usually not
a good accounting practice to mix dates, periods, and years in a
batch, because it complicates auditing procedures.
User Guide
29
Before Using
You use the Journal Entry form to add batches directly into the
General Ledger. You also use this form to edit general ledger
batches (whether created by an ACCPAC subledger or imported
or retrieved into General Ledger from a non-ACCPAC
application).
210
Multicurrency detail
data
Currency.
Currency rate type.
Currency rate.
Source and functional currency debit or credit amount.
Errors in provisional
posting stay in the
batch
User Guide
211
Before Using
Allocation Batches
The automatic allocation function creates batches of journal
entries that allocate (distribute) the balances of accounts you
specify to other accounts. For example, after you analyze the
distribution of salaries to cost centers, you can regularly allocate
liability insurance costs to the cost centers according to a
percentage based on your analysis.
You can allocate accounts on an as-needed basis, typically at
period end. You should also perform allocation before printing
final financial statements.
You can put all allocations into the same batch or separate them
into batches by account or by a range for a specified segment.
You also specify the posting date and fiscal period to be attached
to the journal entries.
212
Contents of
allocation batches
Account
40%
30%
30%
Debit
Credit
When you post this entry, the balance of the allocation account is
reduced to zero and the amount is distributed to the accounts to
which the balance is allocated.
You process allocation batches in the same way as all other
batches. You can modify them using the G/L Journal Entry
form, for example, to add comments, change source codes or
descriptions, or to transfer a remainder amount to another
account.
User Guide
213
Before Using
Revaluation Batches
When exchange rates change, you can automatically revalue
multicurrency accounts at the new rates. The procedure creates
batches of transactions to adjust the balances in the accounts you
specify for revaluation. You can revalue as many currencies as
you wish at any time, typically at period end or when currency
rates fluctuate rapidly.
You can list and edit revaluation batches before posting.
Revaluation revalues the functional-currency equivalents of
source currency amounts using a specified exchange rate. It
posts the difference between the new functional currency value
and the old functional currency value to the Unrealized
Exchange Gain or Unrealized Exchange Loss account.
Accounts must be
active before you
can post them
214
Jun 29/10
6,000.00 CAD
5,019.60 USD
1,000.00 USD
1,000.00 USD
Master
Balance
Before Using
Date
Source
Balance
6,019.60 USD
Date
Source
Balance
Functional
Equiv. Bal
Jun 30/10
6,000.00 CAD
4,878.80 USD
1,000.00 USD
1,000.00 USD
Master
Balance
5,878.80 USD
Revaluation posts
auto reversal entries
User Guide
215
reversed in the next fiscal period, unless you edit the batch and
turn automatic reversal off. Reversing the entries lets you review
the gains and losses on financial statements without realizing
them.
A transaction is created in each fiscal period in the range you
specify in the Create Revaluation Batch form.
Because the transactions are automatically reversed, the effect of
revaluation is completely backed out in the fiscal period
following the last fiscal period you specify for revaluation.
Chapter 5, Periodic Processing, in this manual describes the
revaluation function in detail.
2.
3.
216
Integrating
subledgers with
General Ledger
accounts
Consolidating
subledger
transactions
Consolidation
prevents drilldown
Subledger source
codes
User Guide
217
Before Using
Imported Batches
General Ledger can import transactions created by remote
ACCPAC subledgers and by non-ACCPAC applications.
General Ledger treats these imported transactions as regular
batches, integrating the General Ledger with remote ACCPAC
subledgers and custom applications created by third-party
developers.
Data in batches imported from non-ACCPAC applications must
be set up in a way that General Ledger understands. For
information about import file structure, see Appendix C,
Importing and Exporting, in this manual.
During the import process, General Ledger checks the import
file. The system will not import the file if it contains errors, such
as missing source codes, source codes not already in General
Ledger, invalid dates or fiscal periods, extra fields, and data
entered in the wrong order.
General Ledger Import cannot identify incorrect amounts, or
details assigned to the wrong account. To avoid posting errors to
your General Ledger accounts, you should print listings of the
imported batches before you post them, and carefully check for
incorrect entries.
Back up before
importing
218
You should also always back up both General Ledger and the
external file before beginning the import process. If you have
up-to-date backups, you can restore your data if a problem
occurs when you import or post the transactions.
Recurring Entries
Set up schedules in
Common Services,
first
Before you set up recurring entry records, you must create the
schedules that will determine the frequency of the recurring
transactions. The schedule you attach to the recurring entry
record determines the day on which the entry is processed and
whether a user is reminded to process the entry.
You set up schedules using the Schedules form in Common
Services. For more information about setting up schedules, see
the System Manager User Guide.
User Guide
219
Before Using
Posting Batches
You can edit the batches, print listings for them, and post them
in the same way you process other types of batches.
Assigning batch
numbers, document
numbers, and dates
Posting Batches
You can post batches in General Ledger to permanently update
the data stored for the accounts specified in the transactions, or
you can post batches on a provisional basis to test the effects of
the transactions on your ledger before posting them
permanently. You can post batches at any time, and you can post
as many batches as you want at a time.
Although you will probably post the majority of your batches to
the current year, you can also post adjustments and corrections
to previous years if you select the option to allow posting to
previous years, and the previous fiscal year is active.
Posting does the following:
220
Posting Batches
Provisional posting
Force listing of
batches
If you use the option to force listing of batches, you must list
batches before you can post them. You must also reprint the
listings for batches you edit before you can post them.
Your audit trail of posted transactions is strengthened if you
routinely print batch lists and correct errors before you post.
This procedure ensures that all the transactions you group
together in the same batch are posted together and appear on the
same Posting Journal. This procedure simplifies the job of
tracking transactions later on.
Each time you post, a Posting Journal of the transactions is
created with a unique posting sequence number. You should
print the journal and file it as part of your audit trail.
User Guide
221
Before Using
Posting Batches
Posted Transactions
The system deletes each batch after posting it. The only way to
modify the effects of posted entries is by posting adjusting
entries.
Consolidation during
posting
Source Code
Date
Debit
GL-01
04/29/10
50.00
GL-01
05/01/10
20.00
GL-02
05/02/10
GL-02
05/03/10
40.00
GL-01
05/04/10
35.00
Credit
75.00
Source Code
Date
4*
GL-01
04/29/10
50.00
5**
GL-01
05/31/10
55.00
5**
GL-02
05/31/10***
Debit Credit
35.00
** The details entered for fiscal period 5 are netted into two totals, one for
source code GL-01, the other for source GL-02.
*** The date assigned to the consolidated details is the last date of the
fiscal period to which they were posted.
222
Posting Batches
User Guide
223
Before Using
Posting Journal
Posting Batches
Before you can post to a previous year, you must make sure that
the fiscal year exists and select the option to allow posting to
previous years. This option is discussed in Chapter 3, Setting
Up General Ledger, in the Getting Started manual.
During posting to a previous year, all details for balance sheet
accounts are posted to the accounts, and the balances are
updated.
Posting to income
and expense
accounts in a
previous year
224
Reviewing Batches
Reviewing Batches
Displaying Batches
At any time you can look up batches of journal entries and
details in both the G/L Batch List and Journal Entry forms.
The G/L Batch List form lists all batches in General Ledger,
including posted and deleted batches. From the list, you can
open existing batches (so you can change entries and add
entries), start new batches, post batches permanently, post
batches provisionally, and delete batches.
The G/L Batch List form supplies the following information:
Batch number
Description
Ledger (the application that created the batch)
Last edit date
Ready To Post status (No or Yes)
Batch type (entered manually, from subledger, imported, or
generated)
Batch status (open, deleted, posted, or provisionally posted)
Printed status (No or Yes)
Posting sequence number
Batch total
Quantity Total
Creation date
Number of entries
Number of errors
User Guide
225
Before Using
Printing Batches
You can review batches by either of the following printing
procedures:
In the Batch List and Journal Entry forms, use the Print
command on the File menu to print selected batches.
226
You can also create a new year and do period end maintenance
at any time. Typically, at year end, you would:
Use the Create New Year form to zero the income and
expense accounts and transfer their balances to the retained
earnings accounts, preparing the ledger for the new year.
User Guide
227
Before Using
You can create a new year at any time. However, once you create
a new year, each transaction you post to an income or expense
account in a previous year generates additional transactions to
close the account to retained earnings. The additional
transactions will consume disk space.
You should create the new year before you post transactions set
to auto reverse (which include revaluations) to the last period of
the current year. If you dont, however, posting creates a batch
that you can post once you create the new year.
You can create one transaction for each account and fiscal
period.
Or
228
User Guide
229
Before Using
Where To Now?
Where To Now?
Once you understand how General Ledger processes and
maintains data, you can use Chapter 4, Transaction
Processing, and Chapter 5, Periodic Processing, as reference
tools as you go about your daily work. Chapter 3, Maintaining
Accounts, provides reference information about the forms you
use to maintain and review your general ledger and its
associated summary fiscal data.
230
Chapter 3
Maintaining Accounts
User Guide
3i
Maintaining
Accounts
Chapter 3
Maintaining Accounts
This chapter describes the procedures for maintaining and
reviewing general ledger accounts.
This chapter tells you how to enter and update the following
account information:
Accounts
Automatic allocations.
Budgets
Transaction history
User Guide
31
Maintaining
Accounts
Account Maintenance
Account Maintenance
Use the Accounts form to create and maintain the chart of
accounts, and as needed to delete unnecessary accounts.
The Accounts form lets you record required account information
and specify:
Select the
multicurrency option
Before Using
You can find information about importing a chart of accounts
from a file in Appendix C, Importing and Exporting. You may
want to consider this option as an alternative to adding accounts
manually.
32
Account Maintenance
You can also use the Setup Wizard to create a chart of accounts
using one of several template charts of accounts. Later, you can
modify the chart of accounts to suit the needs of your company.
For more information about using the Setup Wizard, refer to the
instructions in the System Manager Quick Start Guide.
Before adding
Before deleting
The account is not used as the default closing account for the
company, or as a retained earnings account for any segment
code.
User Guide
33
Maintaining
Accounts
Before modifying
Account Maintenance
The beginning and current balances for the account are zero.
Tips
Entering account
numbers and their
segments
Account structure
34
Account Maintenance
Subledger control
accounts
Consolidated posting
Quantities
User Guide
35
Maintaining
Accounts
Changing status
Account Maintenance
Automatic allocation
Account types
Retained earnings
accounts
Multicurrency ledgers
How to Use
To display the G/L Accounts form, double-click the Accounts
icon in the G/L Accounts folder.
The G/L Accounts form appears. Depending on the account
options you choose, this form will display up to four tabs: Detail,
Allocation, Currency, and Subledger.
36
Account Maintenance
To add an account
To change
To delete
Detail Tab
The Detail tab records and displays required account
information such as the account number, type, and whether
quantities are to be maintained for the account.
User Guide
37
Maintaining
Accounts
Account Maintenance
Allocation Tab
The Allocation tab tells the system how to distribute the
amounts in an account when you allocate.
The source code you specify is associated with the transactions
generated by the allocation. For each account to which the
allocations are distributed, you must enter an account number
and the percentage of the balance to be allocated to the account.
You can also enter a reference and a description for the
allocation transaction. The percentages allocated must add up to
100 percent.
38
Account Maintenance
Currency Tab
The Currency tab records multicurrency information for the
account.
Maintaining
Accounts
User Guide
39
Account Maintenance
Subledger Tab
The Subledger tab is available only if the account is a subledger
control account. You indicate that the account is a control
account on the Detail tab.
The Control Accounts Subledgers Information tab lets you
specify which subledgers use the account as a control account.
To specify the subledgers that use a control account:
1.
310
2.
3.
After Using
Print a listing of the Chart of Accounts using the Print command
on the File menu in this form or Chart of Accounts in the Reports
folder.
You cannot change the account number. To get the same effect as
changing the number, you must delete the account, and then add
it with the new number.
Changing the
account type
Changing allocation
accounts
User Guide
311
Maintaining
Accounts
Deleting Accounts
From time to time, you may want to remove or delete inactive
accounts from General Ledger. When you perform period end
maintenance, you can tell the system to delete inactive accounts
containing zero amounts and quantities for the current and
historical years. If you want to delete individual accounts during
the year, use the Accounts form.
To preserve the integrity of your data, and to preserve the audit
trail, General Ledger will let you delete accounts only if the
following conditions are true:
312
Chart of Accounts
Chart of Accounts
The G/L Chart of Accounts form is for general-purpose account
review and maintenance. It lists the chart of accounts, and lets
you open these account maintenance forms:
Budget Maintenance
Use the Budget Maintenance form to view and maintain budget
information for an account. If you use the Enterprise Edition of
ACCPAC General Ledger, you can maintain up to five budget
User Guide
313
Maintaining
Accounts
Accounts
Budget Maintenance
Account history inquiry
Source currency inquiry
Transaction history
Fiscal set comparison.
Budget Maintenance
sets for each account. In other editions, you can keep one set of
budget data.
ACCPAC General Ledger also ships with the Budget.xls
spreadsheet macro, which allows you to retrieve budget figures
into Excel, and then write them back to your General Ledger
database.
Before Using
Before using this form, find out which budget sets your
company uses and what type of information the budget set
contains. Also, ensure that the accounts for which you want to
maintain budget information have been defined. The Posting tab
of the G/L Options form tells you which budget sets (if any) are
locked. You cannot add, change, or delete information contained
in a locked budget set.
Tips
Budget sets
1, 2, 3, 4, 5
Importing budgets
314
Budget Maintenance
The Fiscal Set Lookup portion of the form allows you to display
actual and budget sets for any account in the general ledger. You
can then use one of the Copy methods to move the Lookup
Amount into your new budget.
Calculating budget
amounts
2.
3.
or
User Guide
315
Maintaining
Accounts
How to Use
Budget Maintenance
4.
5.
6.
To look up an
account
To change an
account
2.
3.
316
Budget Maintenance
To clear
2.
3.
User Guide
317
Maintaining
Accounts
Note: You must click the Save button to save any changes made
to budget amounts. If you exit this form without clicking Save,
the original amounts remain in the budget.
Budget Maintenance
Lookup methods
318
Budget Maintenance
Weighted distribution
User Guide
319
Maintaining
Accounts
After using
Account History also lets you drill down from account balances
to transactions, to General Ledger journal entries, and to the
source entry, such as an invoice in Accounts Receivable.
The system maintains account history for the number of years
specified in the Keep Years of Fiscal Sets field in the G/L
Options form.
If you delete details or consolidate them you can no longer
drill down to source transactions.
Ending balances
320
How to Use
To display the Account History Inquiry form, click the History
button in the G/L Chart of Accounts form or double-click
Account History Inquiry in the G/L Accounts folder.
Maintaining
Accounts
2.
3.
or
Euro users
To show quantities
4.
User Guide
321
Transaction History
To view transactions
To see the transactions that make up a periods balance, doubleclick the period summary line for which you want details.
General Ledger opens the Transaction History form showing
transactions for the account through the period you selected.
Drilldown capabilities
To return to the
Account History form
Transaction History
The Transaction History form displays transaction details that
have been posted to an account, including the fiscal year, posting
period and date, source code, reference, description, and posted
amount and quantity. Multicurrency transactions also show the
rate, rate type, rate date, source currency, and source currency
amount.
If you specified a reporting currency (in G/L options and the
Company Profile form in Common Services), the Transaction
History form will display a column showing transactions in the
reporting currency.
Drill down to source
transactions
322
Transaction History
Before Using
You must post general ledger transactions before you can view
them.
How to Use
To view transactions
Enter the account, fiscal year, and period ending date through
which you want information. To view transactions from a
single source only, enter the source code. To view transactions in
a single source currency only, enter the currency. Click the Go
button when you complete or change your selection.
You can view the multi-column display of information by using
the horizontal and vertical scroll bars at the bottom and right
sides of the form. The information for each transaction includes
all data recorded when you post the transaction.
User Guide
323
Maintaining
Accounts
Drilldown
Single-currency
accounts
Multicurrency
accounts
Before Using
Only posted data appears in the actual, provisional, and quantity
fiscal sets.
324
How to Use
To open the Fiscal Set Comparison form, click the Comparison
button in the G/L Chart of Accounts form or double-click Fiscal
Set Comparison in the G/L Accounts folder.
To view fiscal sets
2.
3.
or
User Guide
325
Maintaining
Accounts
1.
Before Using
This form displays information for multicurrency accounts only.
You must have entered and posted General Ledger transactions
to affect the currency balances.
How to Use
To open the Source Currency Inquiry form, click the Currency
button in the G/L Chart of Accounts form or double-click
Source Currency Inquiry in the G/L Accounts folder.
To view source
currency
1.
Drilldown to period
transactions
2.
326
Maintaining
Accounts
4.
User Guide
327
Chapter 4
Transaction Processing
User Guide
4i
Transaction
Processing
Tips .................................................................
How to Use ..............................................................
After Using Import .......................................................
Retrieve Batches ..............................................................
Before Using .............................................................
How to Use ..............................................................
After Using ..............................................................
Batch Listing (Report) .........................................................
Post Batches..................................................................
Before Using .............................................................
Tips .................................................................
How to Use ..............................................................
After Using ..............................................................
Report Posted Transactions ....................................................
4ii
419
419
420
420
420
421
422
422
422
423
423
425
425
425
Chapter 4
Transaction Processing
ACCPAC General Ledger is a batch-oriented accounting system.
You group financial transactions together and enter them in
batches before you post them to general ledger accounts.
Batch processing
Posting batches.
User Guide
41
Journal Entry
Journal Entry
A journal entry in General Ledger is like a manual journal entry.
The sum of the debits equals the sum of the credits. Each debit
line and each credit line in a journal entry is called a detail.
Use the G/L Journal Entry form to maintain batches, journal
entries, and journal entry details. The Journal Entry form allows
you to perform the following functions:
Create batches.
Insert new details into journal entries and edit and delete
details.
Before Using
Define the following
42
Before you use the Journal Entry form to make journal entries,
you must define the following information:
Journal Entry
For tracking your journal entries you can also enter a description
of each entry and, for each detail, a reference, description, and
comments.
Group journal entries into batches that let you maintain effective
manual control totals and auditing controls.
Transaction
Processing
Tips
Practicing with
sample data
Before using your own data, practice using the Journal Entry
form with sample data by doing the Tutorial in Chapter 4 of the
General Ledger Getting Started manual.
Requirements for
posting
User Guide
43
Journal Entry
Ready To Post
When you are ready to post a batch, you mark it Ready To Post
on the Batch List form. You cannot change the entries in batches
that are marked Ready To Post.
Two forms provide access to the Journal Entry function:
44
Journal Entry
before you (or a data entry clerk) enter them into General
Ledger.
General Ledger provides two Journal Entry data entry forms.
One form is for single-currency entries only and the other has all
the journal entry fields for multicurrency entries.
As you read the information that follows, you can fill in the
Journal Entry data entry form that corresponds to the data entry
format you will use.
Batch Number
General Ledger assigns a sequential batch number to each new
batch you create. You use the batch number to select the batch
for editing and for posting.
Description
You can enter a description of up to 30 characters for each batch,
for example, February 15 payroll. The description is printed on
the Batch Listing and the G/L Batch Status report.
Entry Number
General Ledger assigns a sequential entry number to each new
journal entry. You use the number to select journal entries for
editing. The entry number is a major element in your audit trail,
letting you trace a posted detail back to the original batch entry.
Journal entry numbers are printed on Source Journals, the
Posting Journal, G/L Transactions Listing, and Batch Listings.
User Guide
45
Transaction
Processing
Journal Entry
Description
You can enter a description of up to 30 characters for each
journal entry. The description is printed on Batch Listings,
Posting Journals, and Source Journals.
Date
The default date for a journal entry is the Session Date (the date
you entered when you started ACCPAC). You can change the
date of the entry and you can enter a different date for each
detail, if necessary.
You should adopt a consistent system of assigning transaction
dates. For example, always use the date the transaction took
place, such as the date on a check, or always use the date you
enter the transaction into General Ledger.
Using the date the transaction took place can be a handy
auditing tool if you also have dated source documents to which
you can trace transactions.
Consolidated
transactions dates
Year/Period
You specify the posting year for each journal entry. The default
posting year for a data entry session is the year of the Session
46
Journal Entry
Date in the Open Company form. You can change the year. For
example, to post transactions to a previous year, enter the
previous year in this field.
Note: To post to a previous year, you must select the Allow
Posting to Previous Years option (on the Posting tab of the G/L
Options form). The previous fiscal year must be active (set in the
Fiscal Calendar form in Common Services) and the fiscal
periods you are posting to in the previous year must be
unlocked.
Fiscal Period
You specify the fiscal posting period for each journal entry. The
period corresponding to the Session Date in the Open Company
form appears as the default, but you can change it.
Note: General Ledger posts all the details for a journal entry to a
single fiscal period. Posting details of a journal entry to different
fiscal periods would cause the ledger to be out of balance in
those periods.
Transaction
Processing
Unlocked or locked
periods
ADJ period
Select ADJ as the fiscal period for final adjusting entries at the
end of your fiscal year. Post adjusting entries to the ADJ period
to keep your final regular fiscal period balance intact for your
audit trail. You can select entries posted to the ADJ period when
you print posting and other audit reports.
Make sure the adjustment period is unlocked in your fiscal
calendar before you enter and post adjusting entries using the
ADJ period.
Closing period
User Guide
47
Journal Entry
can select entries posted to the CLS period when you print
posting and other audit reports.
Make sure the closing period is unlocked in your fiscal calendar
before you post closing entries using the CLS period.
The first two characters of the source code identify the ledger
where the transaction originated. For example, all details
entered in General Ledger have a GL source ledger code;
Accounts Receivable details have an AR source ledger code, and
so forth. The second part of the source code identifies the type of
entry.
Some source codes, such as GL-JE (journal entry) are provided
with General Ledger. You set up other source codes for General
Ledger using the Source Codes form, before you enter
transactions.
General Ledger displays the source code description when you
enter or select the source.
You can use source codes to print customized source journals as
part of your audit trail.
For imported batches, you can change source codes in subledger
batches only if you select All Fields as the choice for the Edit
Imported Entries option on the Posting tab of the G/L Options
form.
Auto Reversal
If you check this option, the journal entry is reversed in the next
fiscal period.
General Ledger automatically posts the reversing journal entries
into the next fiscal period when it posts this journal entry, thus
backing out the effect of the original postings.
48
Journal Entry
If you do not create the new year before you post an entry
marked for auto reversal to the last period of your fiscal year,
General Ledger creates an open batch with the reversing entry,
which you can post after creating the new year.
Entry Mode
Quick entry mode saves you some keystrokes when entering
similar details. Use quick mode to default the reference and
description for each detail line after the first.
The reference and description are printed with the detail line on
the Batch Listings and Posting Journals for the batch, and on the
G/L Transactions Listing, if the account is not consolidated. The
description for consolidated accounts on the G/L Transactions
Listing is Consolidated posting for accounts that were
consolidated during posting, and Consolidated for accounts
that were consolidated in the Consolidate Posted Transactions
form. The G/L Transactions Listing leaves the reference blank
for consolidated transactions.
Because you can print source journals by reference, it is
important to use the same reference for associated details, such
as multiple expense allocations for one check. If you plan to
select source journal transactions for printing by reference, you
should assign references that are meaningful and spell the
references consistently.
Account
With each detail, you specify the account to which you want to
post the debit or credit.
User Guide
49
Transaction
Processing
In quick entry mode, the reference and description you enter for
the first detail appear as the default text for the remaining
details, unless you change them.
Journal Entry
Quantity
If the detail has a quantity associated with it, enter it in the
Quantity field. (Maintain Quantities is available only in
Enterprise Edition and in Corporate Edition.)
To enter a quantity for any journal entry detail associated with
an account, the Maintain Quantities option must be selected for
the account. For the Maintain Quantities option to appear on the
accounts Detail tab, you must select the Maintain Quantities
option for the company on the Account tab of the G/L Options
form.
410
Journal Entry
Comments
If you cannot fit all the descriptive text for a detail in the
Reference and Description fields, you can use the Comment field
to add the remaining information. Each comment can contain
255 characters.
Comments are printed on the Batch Listing and the Posting
Journals. They do not appear on any other reports.
Multicurrency Fields
If the detail is associated with a multicurrency account, enter the
multicurrency information in the fields provided.
Currency
Currency Date
This date is used to extract the currency rate from the currency
rate table.
Currency Rate
Using the rate and the source currency, the system calculates
and displays the debit and credit amounts in functional
currency.
If necessary, you can override the calculated amounts.
Functional debit and credit amounts, as well as the source debits
and credits, are stored with the entry.
User Guide
411
Transaction
Processing
Journal Entry
To create a batch, open the Journal Entry form, click the New
button next to the Batch field, and then enter a description for
the batch. You must use the system-assigned batch number.
Editing batches
412
Journal Entry
Deleting batches
Reusing batches
To save a batch for later reuse, open it in the Journal Entry form
and use the Export command on the File menu. Later,
when you are ready to reuse the batch, you can use the Import
command on the Journal Entry form to bring it back into the
system. For more information, see Appendix C, Importing and
Exporting, in this guide.
To add an entry, click the New button next to the Entry field
and use the system-assigned entry number. Enter the
information for the entry and save it by clicking Add.
User Guide
413
Transaction
Processing
Journal Entry
Drilling down
Deleting journal
entries
To enter a detail, press the Tab key until you move into the detail
data entry area or click the top left field of the detail area.
Enter the information for the detail, tabbing to advance to the
next field. Record the information entered so far at any time by
clicking Add. To enter another detail, press the Insert key or tab
to the next detail line.
414
Journal Entry
to switch between the Journal Detail form and the Journal Entry
form.
Editing details
Leaving the
detail area
Ctrl+Tab
To leave the detail area, you can press Ctrl+Tab. This action
brings you to the Add (or Save button). You can then press
Enter to add the detail or save your changes. Press Ctrl+Tab a
second time to move to the Batch field at the top of the form.
Deleting details
(single line)
Deleting an entire
entry
Select the Ready To Post option in the Batch List form for
batches to which you do not want to add further transactions
or make other changes.
User Guide
415
Transaction
Processing
After Using
Before Using
You must already have created, imported, or otherwise
generated some batches.
416
How to Use
To open the Batch List form, double-click the Batch List icon in
the G/L Transactions folder.
If the batch list is long and the batch you need is not displayed,
enter the batch number in the Batch Number field. You can also
deselect the option Show Posted And Deleted Batches, to limit
the display.
To review batches
Highlight the batch and then click the Open button to review an
unposted batch in the Journal Entry form.
To add a batch
To edit a batch
To edit an open batch, either highlight the batch and click Open
or double-click the batch.
To delete a batch
To post a batch
To print the Batch Status report, click the Print Batch Status
Report command on the File menu.
User Guide
417
Transaction
Processing
You can also enlarge the Batch List form to see more columns
and rows.
To print a batch
To print a batch, highlight it, then choose the Print button or the
Print command on the File menu.
After Using
Before Using
Before importing:
418
Tips
Batch number is
system-assigned
Guidelines for
importing
Importing batches
exported for reuse
Multicurrency
batches
How to Use
To display forms for exporting and importing journal entries,
click Export or Import on the File menu in the Journal Entry
form.
User Guide
419
Transaction
Processing
Retrieve Batches
The files you specify for importing must exist and be located on
the drive and in the directory that you specify. If you are on a
network, you must have access rights to the file and the
directory.
Retrieve Batches
You can retrieve batches of transactions from ACCPAC Plus
Accounting subledgers and treat them as regular General Ledger
batches.
Once you retrieve a batch from a DOS subledger, you can list,
edit, post, provisionally post, and consolidate the transactions.
The limits set in G/L Options for editing imported batches apply
to retrieved batches.
Note: ACCPAC retrieves subledger batches from version 6.0 or
higher of ACCPAC Plus Accounting applications. It will not
retrieve transaction batches from earlier versions of ACCPAC
Plus.
Before Using
420
Retrieve Batches
How to Use
1.
2.
3.
User Guide
421
Transaction
Processing
4.
After Using
Edit and list the retrieved batch as you would any other General
Ledger batch. Provisionally post or post the batch when you are
satisfied with its contents.
Post Batches
Use the Post Batches form to post batches of transactions to the
General Ledger on a regular basis, thereby keeping your records
accurate and up-to-date. This form gives you the option of
posting provisionally, that is, of temporarily posting transactions
(such as year-end adjustments) to your accounts so you can test
their effects on your ledger before posting them permanently.
You must set batches to Ready To Post and, if you use the option
to force listing of batches, you must print a batch listing for them
before you can post the batches.
Note, also, that provisional posting is available only in the
Enterprise Edition and Corporate Edition.
The posting process consolidates details for accounts if you
selected the Post To Account In Consolidated option (defined on
the Detail tab of the G/L Accounts form).
422
Post Batches
Before Using
Before using this form:
Print and verify batch listings for the batches you want to
post. (This step is required if you use the Force Listing Of
Batches option set on the Posting tab of the G/L Options
form.) If necessary, make corrections.
Entries balance.
Tips
Batch status
changed
User Guide
423
Transaction
Processing
Post Batches
Batch errors
Posting sequence
number
Provisional postings
424
How to Use
To display the Post Batches form, double-click Post Batches in
the G/L Transactions folder.
Transaction
Processing
After Using
Take the following steps after posting batches:
After posting, you can print the Posting Journal to obtain a list
of the permanently or provisionally posted transactions. The
journal includes any comments that you entered with the
details. You can clear the Posting Journal after printing using
the Clear History form in the Periodic Processing folder.
G/L Transactions
Listing
User Guide
425
Permanently or
provisionally-posted
data
426
Chapter 5
Periodic Processing
User Guide
5i
Periodic
Periodic
Processing
Processing
5ii
Chapter 5
Periodic Processing
This chapter describes the following procedures in detail:
Periodic
Processing
Before you can post transactions to a new year, you must create
the year using the Create New Year form. Create New Year
also closes the current year by zeroing the income and expense
accounts and transferring their balances to the retained earnings
(closing) accounts.
You should also create the new year before you post auto
reversing entries to the last period of the current year. (If you do
not, General Ledger will create a batch that you can post once
the new year is created.)
User Guide
51
Periodic, as-needed
processing
52
Normally, you run Create New Year only once, when you are
ready to begin entering transactions for a new fiscal year. To
make adjustments to the previous fiscal year after creating the
new year, post the adjusting transactions to the previous fiscal
year. General Ledger automatically makes the appropriate
User Guide
53
Periodic
Periodic
Processing
Processing
Create New Year also creates the appropriate fiscal sets for the
new fiscal year, and initializes the account balances as follows:
Before Using
Before using the Create New Year form:
1.
2.
In the G/L Options form, make sure that you have specified
the default closing account.
General Ledger also lets you transfer income and expense
account balances to retained earnings accounts associated
with particular account segments.
54
3.
4.
Print the reports and listings you need for your audit trail
and files.
5.
Tips
Closing account
default
Posting Journal
created
How to Use
Double-click Create New Year in the G/L Periodic Processing
folder to display the Create New Year form.
The G/L Create New Year form appears:
Periodic
Periodic
Processing
Processing
User Guide
55
After Using
You can define and print a Source Journal that lists only the
entries associated with the closing source code.
Print the opening balance sheet and other reports you need
to start your records for the new fiscal year.
56
Before Using
Before using this form:
1.
2.
3.
Print the reports and listings you need for your audit trail
and files.
4.
How to Use
Double-click Period End Maintenance in the G/L Periodic
Processing folder to display the Period End Maintenance form.
Periodic
Periodic
Processing
Processing
User Guide
57
You can create one transaction for each account and fiscal
period.
Or
Before Using
Before using this form:
Tips
Transaction details
are eliminated
Consolidate at
posting time
58
Two ways to
consolidate
Multicurrency ledger
How to Use
Double-click Consolidate Posted Transactions in the G/L
Periodic Processing folder.
This form lets you specify the level of consolidation that best
suits your needs. You can:
Consolidate transactions either by account and fiscal period
or by account, fiscal period, and source code.
User Guide
59
Periodic
Periodic
Processing
Processing
After Using
All consolidated transactions reported on the G/L Transactions
Listing and on Source Journals have a blank reference, whether
they were created by the Consolidate Posted Transactions form
or consolidated during posting.
To determine how a transaction was consolidated, check its
description and posting sequence number.
Before Using
Before using this form:
510
Determine the date and fiscal period to which the batch will
be posted.
Tips
Allocation creates
journal entries
How to Use
Double-click Create Allocation Batch in the G/L Periodic
Processing folder.
User Guide
511
After Using
512
Before Using
Before using this form:
Define revaluation codes.
Make sure the gain and loss accounts and the accounts being
revalued are active before posting. Revaluation creates
transactions for both active and inactive accounts, but you
cannot post unless all accounts involved are active.
Tips
Revaluation creates
journal entries
User Guide
513
Periodic
Periodic
Processing
Processing
How to Use
Double-click Create Revaluation Batch in the G/L Periodic
Processing folder to display the Create Revaluation Batch form.
514
You can override the displayed rate for this revaluation run.
Revaluation uses the Journal Entry Date in the Create
Revaluation Batch form to determine the year into which to post
the transactions.
To proceed with revaluation, click the Proceed button.
After Using
Print the Batch Listing and, if necessary, edit the batch using
the Journal Entry form.
Before Using
Before using the Create Recurring Entry Batch form:
User Guide
515
Periodic
Periodic
Processing
Processing
Make sure that the accounts used in the recurring entries are
active accounts.
How to Use
To create a recurring entry batch:
1.
2.
516
Clear History
Print the Batch Listing and, if necessary, edit the batch using
the Journal Entry form.
After Using
Clear History
You use the Clear History form to remove printed posting
journals and deleted and posted batches from your General
Ledger system.
Before Using
Determine the highest batch number or posting sequence
number to clear.
User Guide
517
Periodic
Periodic
Processing
Processing
Before clearing
posting journals
Clear History
How to Use
To clear history:
1.
2.
3.
518
4.
5.
Chapter 6
Reports
Printing Reports and Financial Statements ........................................ 62
Audit Reports and Listings ..................................................... 63
Viewing G/L Reports....................................................... 63
Report Icons and Forms ..................................................... 63
Chart of Accounts .............................................................. 64
Trial Balance .................................................................. 69
Transactions Listing ........................................................... 614
Source Journals ............................................................... 618
Batch Status .................................................................. 622
Batch Listing ................................................................. 624
Posting Journals .............................................................. 626
Account Structures ............................................................ 630
Segment Codes ............................................................... 631
Source Codes ................................................................. 633
Source Journal Profiles ........................................................ 635
Revaluation Codes ............................................................ 636
Options ...................................................................... 637
Recurring Entries Report ...................................................... 639
Financial Reports ............................................................. 641
Saving Report Values by Printing to a File ................................... 642
Reports
User Guide
6i
Chapter 6
Reports
This chapter describes each of the fourteen reports that you can
choose from the G/L Reports folder and provides you with
instructions for printing them.
Report types
Reports are covered in the same order as they appear in the G/L
Reports folder:
Chart of Accounts
Trial Balance
Transactions Listing
Source Journals
Batch Status
Batch Listing
Posting Journals
Account Structures
Segment Codes
Source Codes
Source Journal Profiles
Revaluation Codes
Options
Recurring Entries
The reports you print from the G/L Reports folder help you to
maintain your audit trail. They provide a history of your general
ledger transactions and snapshots of the general ledgers status
whenever you choose.
Financial statements
User Guide
61
Reports
The reports available from the G/L Reports folder use Crystal
Reports for printing. You can modify any of these reports using
Crystal Reports or Seagate Info from Crystal Decisions. For
information about adapting these reports to meet your needs,
see the appendix on customizing forms in the System Manager
User Guide.
Financial reports use Excel for printing. You can modify the
sample report specifications that come with General Ledger, or
create custom reports, using the Statement Designer.
See the Financial Reporter User Guide for information on how to
design reports and for examples of statements you can print
using the Print Financial Statements form.
Exporting reports
62
Report title.
Page number.
The order and selection criteria you chose for the report (if
applicable).
To display the G/L Reports icons, open the G/L Reports folder.
Choose the G/L Reports icons to print the General Ledger
reports discussed in this chapter.
When you choose an icon from the G/L Reports folder, General
Ledger displays a form where you can choose options for
ordering and selecting information (for most reports), then either
proceed to print the report or cancel printing.
User Guide
63
Reports
Chart of Accounts
Chart of Accounts
Print the Chart of Accounts after setting up your data or revising
the accounts in your chart. You can include allocation or
currency data and can compare actual, budget, and provisional
data by period.
Listing Control
accounts
64
Chart of Accounts
Features
Order criteria
Selection criteria
Format
User Guide
65
Reports
Chart of Accounts
Multicurrency
formats
If you are using the euro as your functional currency and have
specified a reporting currency, you can also compare the
reporting fiscal sets.
Procedures
Before you print the report, update account information and, if
comparing fiscal sets, post any outstanding batches.
Choose the Chart of Accounts icon from the G/L Reports folder
to display the Chart of Accounts report form.
Specify the contents of the report by choosing one of several
formats.
Select accounts to
be printed
Optionally, pick a
print range using the
Finder . . .
The Finder lets you view the entire range of accounts so you
can scan for the entries you want. From the list displayed in the
Finder form, select the From and To ends of the print range you
want. Use the Finder to view and select account numbers and
segment codes.
After you select the primary sorting order and range, you can
further specify the range of accounts printed. For example, if
you order and select by account number, you can also enter a
range of account groups and ranges of segment codes.
66
Reports
Specify contents
Chart of Accounts
To print the report, click the Print button; to cancel it, click the
Close button.
Page 1
[ ] To [ZZZZZZZZZZZZZZZZZZZZZZZZZZZZZZZZZZZZZZZZZZZZZ]
[Current assets] To [Other]
[Account Number]
Account Number
Description
Status
Acct
Config.
Post
In
Structure
Code
1000
1020
1021
1022
1023
1030
1040
1050
1060
1100
1115
1120
1140
1150
1190
1200
1300
1320
1400
1420
1430
1440
1500
1520
1540
1550
1600
1620
1640
1700
1710
1720
1730
2000
2010
2015
2020
2030
2040
2050
2055
2060
2070
2100
2110
2120
2130
2140
2150
2160
2200
2225
2235
2240
2290
2300
2310
2350
2400
2410
2420
2430
2435
2440
Petty cash
Bank account, operating
Bank account, American Express
Bank account, VISA
Bank account, Mastercard
Bank account, payroll
Bank account, US dollars
Bank account, Japanese yen
Bank account, British pounds
Accts receivable, intercompany
Accounts receivable, trade
Accounts receivable, employees
Accounts receivable, other
GST receivable
Allowance for doubtful accts.
Investments, short term
Inventory
Inventory, assembled
Prepaid insurance
Prepaid taxes
Prepaid rent
Prepayment, AP purchases
Furniture and fixtures
Equipment
Buildings
Land
Acc. Amortization/Depr.
Acc. Amort./Depr.Equipment
Acc. Amort./Depr.Buildings
Leasehold improvements
Acc. amortization, leasehold
Organization costs
Acc. amortization, org. costs
Bank operating loan
Accts payable, intercompany
Accounts payable, trade
Accounts payable, other
Prepayment liability
Accts payable, clearing
Non stock clearing
Transfer clearing
Dividends payable
Deposits received
Wages payable
Quebec tax payable
EI payable
CPP payable
QPP payable
Ont. EHT payable
QHIP payable
Federal tax payable
Employee medicare payable
Employer medicare payable
Provincial income tax payable
Property tax payable
Employee benefits payable
Employee pension payable
Employee deductions payable
County sales tax payable
State sales tax payable
Corp. income taxes payable
Canadian GST collected
Canadian GST input tax credit
Provincial Sales Tax
Active
Active
Active
Active
Active
Active
Active
Active
Active
Active
Active
Active
Active
Active
Active
Active
Active
Active
Active
Active
Active
Active
Active
Active
Active
Active
Active
Active
Active
Active
Active
Active
Active
Active
Active
Active
Active
Active
Active
Active
Active
Active
Active
Active
Active
Active
Active
Active
Active
Active
Active
Active
Active
Active
Active
Active
Active
Active
Active
Active
Active
Active
Active
Active
B,DR,F
B,DR,M
B,DR,F
B,DR,F
B,DR,F
B,DR,F
B,DR,M
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B,DR,F
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B,DR,F
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B,DR,F
B,DR,M
B,DR,F
B,DR,F
B,DR,F
B,DR,F
B,CR,F
B,CR,F
B,CR,F
B,DR,F
B,CR,F
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B,CR,F
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B,CR,F
Detail
Detail
Detail
Detail
Detail
Detail
Detail
Detail
Detail
Detail
Detail
Detail
Detail
Detail
Detail
Detail
Detail
Detail
Detail
Detail
Detail
Detail
Detail
Detail
Detail
Detail
Detail
Detail
Detail
Detail
Detail
Detail
Detail
Detail
Detail
Detail
Detail
Detail
Detail
Detail
Detail
Detail
Detail
Detail
Detail
Detail
Detail
Detail
Detail
Detail
Detail
Detail
Detail
Detail
Detail
Detail
Detail
Detail
Detail
Detail
Detail
Detail
Detail
Detail
ACC
ACC
ACC
ACC
ACC
ACC
ACC
ACC
ACC
ACC
ACC
ACC
ACC
ACC
ACC
ACC
ACC
ACC
ACC
ACC
ACC
ACC
ACC
ACC
ACC
ACC
ACC
ACC
ACC
ACC
ACC
ACC
ACC
ACC
ACC
ACC
ACC
ACC
ACC
ACC
ACC
ACC
ACC
ACC
ACC
ACC
ACC
ACC
ACC
ACC
ACC
ACC
ACC
ACC
ACC
ACC
ACC
ACC
ACC
ACC
ACC
ACC
ACC
ACC
Cntrl.
Acct. Qty. Units
Auto
Alloc.
Yes
Yes
Yes
Yes
Reports
User Guide
67
68
Description
Petty cash
Bank account, operating
Bank account, American Express
Bank account, VISA
Bank account, Mastercard
Bank account, payroll
Bank account, US dollars
Bank account, Japanese yen
Bank account, British pounds
Accts receivable, intercompany
Accounts receivable, trade
Accounts receivable, employees
Accounts receivable, other
GST receivable
Allowance for doubtful accts.
Investments, short term
Inventory
Inventory, assembled
Prepaid insurance
Prepaid taxes
Prepaid rent
Prepayment, AP purchases
Furniture and fixtures
Equipment
Buildings
Land
Acc. Amortization/Depr.
Acc. Amort./Depr.Equipment
Acc. Amort./Depr.Buildings
Leasehold improvements
Acc. amortization, leasehold
Organization costs
Acc. amortization, org. costs
Bank operating loan
Accts payable, intercompany
Accounts payable, trade
Accounts payable, other
Prepayment liability
Accts payable, clearing
Non stock clearing
Transfer clearing
Dividends payable
Deposits received
Wages payable
Quebec tax payable
1000
1020
1021
1022
1023
1030
1040
1050
1060
1100
1115
1120
1140
1150
1190
1200
1300
1320
1400
1420
1430
1440
1500
1520
1540
1550
1600
1620
1640
1700
1710
1720
1730
2000
2010
2015
2020
2030
2040
2050
2055
2060
2070
2100
2110
Active
Active
Active
Active
Active
Active
Active
Active
Active
Active
Active
Active
Active
Active
Active
Active
Active
Active
Active
Active
Active
Active
Active
Active
Active
Active
Active
Active
Active
Active
Active
Active
Active
Active
Active
Active
Active
Active
Active
Active
Active
Active
Active
Active
Active
Status
B,DR,F
B,DR,M
B,DR,F
B,DR,F
B,DR,F
B,DR,F
B,DR,M
B,DR,M
B,DR,M
B,DR,M
B,DR,M
B,DR,F
B,DR,F
B,DR,F
B,CR,F
B,DR,F
B,DR,F
B,DR,F
B,DR,F
B,DR,F
B,DR,F
B,DR,M
B,DR,F
B,DR,F
B,DR,F
B,DR,F
B,CR,F
B,CR,F
B,CR,F
B,DR,F
B,CR,F
B,DR,F
B,CR,F
B,DR,F
B,CR,M
B,CR,M
B,CR,F
B,CR,M
B,CR,M
B,CR,M
B,CR,F
B,CR,F
B,CR,F
B,CR,F
B,CR,F
Detail
Detail
Detail
Detail
Detail
Detail
Detail
Detail
Detail
Detail
Detail
Detail
Detail
Detail
Detail
Detail
Detail
Detail
Detail
Detail
Detail
Detail
Detail
Detail
Detail
Detail
Detail
Detail
Detail
Detail
Detail
Detail
Detail
Detail
Detail
Detail
Detail
Detail
Detail
Detail
Detail
Detail
Detail
Detail
Detail
Post
Acct.
Config. In
ACC
ACC
ACC
ACC
ACC
ACC
ACC
ACC
ACC
ACC
ACC
ACC
ACC
ACC
ACC
ACC
ACC
ACC
ACC
ACC
ACC
ACC
ACC
ACC
ACC
ACC
ACC
ACC
ACC
ACC
ACC
ACC
ACC
ACC
ACC
ACC
ACC
ACC
ACC
ACC
ACC
ACC
ACC
ACC
ACC
Structure
Code
Close to Segment
[ ] To [ZZZZZZZZZZZZZZZZZZZZZZZZZZZZZZZZZZZZZZZZZZZZZ]
[Current assets] To [Other]
[Account Number]
Account Number
Current assets
Current assets
Current assets
Current assets
Current assets
Current assets
Current assets
Current assets
Current assets
Current assets
Current assets
Current assets
Current assets
Current assets
Current assets
Current assets
Current assets
Current assets
Current assets
Current assets
Current assets
Current assets
Fixed assets
Fixed assets
Fixed assets
Fixed assets
Accumulated depr
Accumulated depr
Accumulated depr
Other assets
Other assets
Other assets
Other assets
Current liability
Current liability
Current liability
Current liability
Current liability
Current liability
Current liability
Current liability
Current liability
Current liability
Current liability
Current liability
Account Group
Yes
Yes
Yes
Cntrl.
Acct. Qty. Units
Auto
Alloc
Page 1
Chart of Accounts
Trial Balance
Trial Balance
The Trial Balance prints the balance of each account in the range
of accounts and at the end of the fiscal period you specify.
Features
Order criteria
Selection criteria
Other criteria
Format
User Guide
69
Trial Balance
account listed; the amounts include any provisionallyposted amounts and provisional quantities.
Procedures
Before you print the report, update account information
and post all open batches. To display the Trial Balance
Report form, choose Trial Balance in the G/L Reports
folder.
2.
3.
Select the period and fiscal year for which you want to
print a trial balance.
4.
Reports
610
1.
Trial Balance
Select accounts to
be printed
5.
Optionally, pick a
print range using the
Finder . . .
6.
Use the Finder to select the From and To ends of the print
range you want.
7.
After you select the primary order and range, you can
further specify the range of accounts printed. For example,
if you order and select by account number, you can also
enter a range of account groups and ranges of segment
codes.
8.
To print the report, click the Print button; to cancel it, click
the Close button.
Reports
User Guide
611
Trial Balance
Page 1
[Account No.]
Sort By
Include Accounts With No Activity [N]
[N]
Include Adjustments
[2010 - 06]
For Year-Period
[ ] To [ZZZZZZZZZZZZZZZZZZZZZZZZZZZZZZZZZZZZZZZZZZZZZ]
From Account No.
[Current assets] To [Other]
From Account Group
Account Number
Description
1000
1020
1030
1040
1050
1060
1100
1115
1150
1190
1200
1300
1400
1430
1500
1520
1550
1600
1620
2010
2015
2030
2040
2120
2130
2200
2300
2310
2350
2400
2410
2420
2430
2435
2440
2450
2460
2500
2700
2710
2900
3000
3200
4000
4000-100
4000-200
4010-100-10
4010-100-20
4010-100-30
4010-100-40
4010-200-10
4010-200-20
4010-200-30
4010-200-40
4020
4030
4040
4050
4060
4100
4200
4210
Petty cash
Bank account, operating
Bank account, payroll
Bank account, US dollars
Bank account, Japanese yen
Bank account, British pounds
Accts receivable, intercompany
Accounts receivable, trade
GST receivable
Allowance for doubtful accts.
Investments, short term
Inventory
Prepaid insurance
Prepaid rent
Furniture and fixtures
Equipment
Land
Acc. Amortization/Depr.
Acc. Amort./Depr.Equipment
Accts payable, intercompany
Accounts payable, trade
Prepayment liability
Accts payable, clearing
EI payable
CPP payable
Federal tax payable
Employee benefits payable
Employee pension payable
Employee deductions payable
County sales tax payable
State sales tax payable
Corp. income taxes payable
Canadian GST collected
Canadian GST input tax credit
Provincial Sales Tax
VAT (United Kingdom)
Japanese sales / purchase tax
Current portion L/T debt
Long term debt proceeds
Long term debt payments
Deferred income taxes
Common stock
Retained earnings
Sales
Sales
Sales
Sales, accessories
Sales, accessories
Sales, accessories
Sales, accessories
Sales, accessories
Sales, accessories
Sales, accessories
Sales, accessories
Sales, chairs
Sales, desks
Sales, cabinets
Sales, dividers
Sales, samples
Sales returns and allowances
Delivery revenue
Rental revenue
Debits
Credits
10,000.00
8,878,277.83
0.00
584,730.98
813,823.05
969,932.14
2,121,571.27
30,507.26
6,542.00
90,000.00
190,828.09
1,290,407.68
13,600.00
19,600.00
702,996.25
1,659,892.54
300,000.00
122,569.89
889,856.53
8,794,941.45
29,168.56
73.60
77.09
18,716.52
87,949.66
97,886.78
81,452.83
54,968.54
65,962.29
5,136.43
1,643.68
343,970.26
96,068.26
40,634.00
33,241.24
378.32
119.17
106,589.36
560,000.00
348,000.00
28,963.54
250,000.00
5,203,189.33
1,823,901.41
2,054,578.86
1,011,382.70
30,645.44
55,060.72
29,776.32
23,457.08
30,887.85
33,452.54
19,576.27
16,852.38
421,857.81
1,363,975.12
1,064,736.95
1,841,264.43
342,265.13
20.23
580,355.07
527,179.06
Reports
612
Trial Balance
Account Number
Description
4220
4230
5000
5000-100
5000-200
5010-100-10
5010-100-20
5010-100-30
5010-100-40
5010-200-10
5010-200-20
5010-200-30
5010-200-40
5020
5030
5040
5050
5500
6000
6020
6080
6080-100
6080-200
6120
6120-100
6120-200
6140
6160
6180
6200-100
6200-200
6220
6240-100
6240-200
6260
6280
6300
6360
6380-100
6380-200
6400
6500
6500-100
6500-200
6520
6540
6560
6580
6600
6620
6640
6660
6680
6680-100
6680-200
6700
6700-100
6700-200
6720-100
6720-200
6740-100
6740-200
6760
7100
7110
9000
Interest income
Miscellaneous income
Cost of goods sold
Cost of goods sold
Cost of goods sold
COGS, accessories
COGS, accessories
COGS, accessories
COGS, accessories
COGS, accessories
COGS, accessories
COGS, accessories
COGS, accessories
COGS, chairs
COGS, desks
COGS, cabinets
COGS, dividers
Cost variance
Accounting and legal fees
Advertising
Automotive
Automotive
Automotive
Commissions
Commissions
Commissions
Delivery and distribution
Amortization/Depreciation
Donations
Dues and subscriptions
Dues and subscriptions
Employee benefit plan
Employee benefits, direct
Employee benefits, direct
Equipment lease or rent
Insurance
Interest, long term debt
Licenses and permits
Miscellaneous
Miscellaneous
Moving
Office supplies
Office supplies
Office supplies
Postage
Promotion and entertainment
Rent, office
Repairs and maintenance
Shipping supplies
Shop supplies
Subcontract costs
Traveling expenses
Telephone, telex, fax
Telephone, telex, fax
Telephone, telex, fax
Utilities
Utilities
Utilities
Wages & benefits, direct
Wages & benefits, direct
Wages & benefits, indirect
Wages & benefits, indirect
Wages casual, direct
Realized exchange gain
Realized exchange loss
Corporate income taxes
Debits
677,665.79
1,025,860.82
543,104.44
16,764.02
26,280.64
12,434.71
9,250.76
15,752.81
15,053.64
10,179.67
8,426.21
202,905.79
656,362.20
517,195.78
893,056.92
168.78
56,749.03
401,720.23
72,532.69
42,901.54
40,825.28
294,751.85
117,822.19
63,450.37
132,181.80
250,000.00
33,191.44
13,263.53
25,442.71
143,267.40
59,694.78
59,694.78
72,569.31
268,728.97
7,500.00
30,274.01
46,610.82
96,673.12
59,146.31
152.12
66,947.96
72,114.04
134,499.06
455,776.20
359,744.44
93,939.47
189,642.31
144,747.05
56,468.64
225,409.07
84,871.25
121,471.67
77,605.17
31,856.31
35,527.23
67,476.66
236,567.37
533,696.44
63,449.27
74,992.56
103,917.57
760.62
805.74
108,000.00
28,340,343.94
28,340,343.94
Page 3
Description
Net Income (Loss) for Accounts Listed:
Debits
Reports
Account Number
Credits
42,292.63
63,010.10
Total:
Page 2
Credits
1,018,419.76
User Guide
613
Transactions Listing
Transactions Listing
The G/L Transactions Listing prints the net changes and current
balances for all the accounts you specify as well as the journal
entry details posted to each account in the specified fiscal
periods of the current year, including adjusting and closing
entries. Use the listing as an audit trail report to trace posted
transactions back to the posting journal and batch listing.
Features
Order criteria
Selection criteria
Including accounts
with no activity;
including adjustments
Procedures
Post any open batches.
2.
3.
Optionally, pick a
print range using the
Finder . . .
4.
Select a period
5.
Select the fiscal year and the beginning and ending period
for which you want to print the report. You can also
include the adjustments and closing periods.
614
Reports
1.
Transactions Listing
Select a currency
format
6.
7.
8.
9.
To print the report, click the Print button; to cancel it, click
the Close button.
Reports
User Guide
615
02/04/2010
02/15/2010
02/04/2010
02/04/2010
02/10/2010
02/10/2010
02/28/2010
GL-JE
AP-PY
AP-PY
AR-PY
AR-PY
AR-PY
AR-PY
GL-JE
01
02
02
02
02
02
02
02
01/20/2010
AR-PY
01
GL-JE
01/12/2010
AR-PY
01
GL-JE
01/12/2010
AR-PY
01
01
01/15/2010
AP-PY
01
01
01/15/2010
AP-PY
Date
1020
01
1000
Account Number/
Prd.
Source
Sorted By
From Account No.
From Account Group
For Year
From Period
Reports
616
Sample Company Inc.
30
29
29
31
31
Posting
Seq.
ACME Plumbing
Chloride Systems
Petty cash
Totals: Petty cash
Description/
Reference
509.92
222.61
794,145.09
81-2
86-1
198.68
81-1
537.41
6,765.62
83-1
77-2
1,720.92
78-1
77-1
13,500.00
76-1
2,581.37
2,006.85
0.00
Credits
67,733.61
810,164.93
300.00
990.33
1,201.52
0.00
Debits
76-1
76-1
72-1
67-2
67-1
74-2
74-1
Batch-Entry
[N]
[N]
[01] To [12]
[2010]
[Account No.]
[ ] To [ZZZZZZZZZZZZZZZZZZZZZZZZZZZZZZZZZZZZZZZZZZZZZ]
[Current assets] To [Other]
2009
43
726,834.95
0.00
Net Change
2,788,940.95
2,062,106.00
10,000.00
10,000.00
Balance
Page 1
Transactions Listing
User Guide
GL-JE
GL-JE
GL-JE
GL-JE
GL-JE
GL-JE
GL-JE
GL-JE
GL-JE
02
03
04
05
9000
01
02
03
04
05
Reports
01/31/2010
GL-JE
6760
01
05/31/2010
04/30/2010
03/31/2010
02/28/2010
01/31/2010
05/31/2010
04/30/2010
03/31/2010
02/28/2010
Date
Account Number/
Prd.
Source
Posting
Seq.
Report Totals:
21,617.15
22,049.50
20,947.02
94-1
104-1
122-1
50,000.00
122-1
40,209,303.16
15,000.00
104-1
40,209,303.16
20,000.00
94-1
0.00
15,000.00
86-1
0.00
0.00
Credits
108,000.00
8,000.00
76-1
103,917.57
19,651.95
19,651.95
74,992.56
Debits
86-1
76-1
Batch-Entry
Description/
Reference
0.00
50,000.00
108,000.00
15,000.00
20,000.00
15,000.00
8,000.00
20,947.02
103,917.57
22,049.50
21,617.15
19,651.95
19,651.95
74,992.56
Net Change
0.00
108,000.00
108,000.00
58,000.00
43,000.00
23,000.00
8,000.00
0.00
103,917.57
103,917.57
82,970.55
60,921.05
39,303.90
19,651.95
0.00
74,992.56
Balance
Page 136
Transactions Listing
617
Source Journals
Source Journals
Source journals list posted transaction details in the order you
specify at print time and for the source codes you include in the
source journal profile. When you create the Source Journal
profile, (using the Source Journal Profiles form), you can specify
up to 50 source codes that you want to include in the journal.
When you print the source journal, you can list a range of details
by reference, fiscal period, date, account number, segment,
account group, posting sequence, and batch number. You can
also narrow the reports focus by specifying ranges for many of
the report fields.
Features
You can print the data in order by account number, by account
segment, or by account group.
Selection criteria
Profile
618
Reports
Order criteria
Source Journals
Use Report
To select a format, type the name of the report in the Use Report
field in the Source Journal Report form, or use the Browse button
on the first tab of the Source Journals Report form to select
which format to use.
Currency
Procedures
Post all open batches.
2.
3.
On the Journal tab of the form, select the source journal you
want to print. If your ledger is multicurrency, you can
choose to print functional currency data only or both source
and functional currency data.
Select accounts to
be printed
4.
Optionally, pick a
print range
5.
From the list displayed in the Finder form, select the From
and To ends of the print range you want.
User Guide
619
Reports
1.
Source Journals
Select a period
6.
7.
8.
To print the report, click the Print button; to cancel it, click
the Close button.
620
User Guide
Reports
1115
ACME Plumbing
Mr. Ronald Black
The Courtyard
Custom Comfort
Bargain Mart - San Die
Bargain Mart - Oakland
Mr. Ronald Black
Dr. Dan Penn
Mr. Stephen Kershaw
Custom Comfort
ACME Plumbing
The Courtyard
The House Doctors
Mr. Ronald Black
Custom Comfort
ACME Plumbing
The Courtyard
Dr. Dan Penn
Mr. Ronald English
Custom Comfort
1100
January 2010 entries
February 2010 entries
March 2010 entries
April 2010 entries
May 2010 entries
1040
January 2010 entries
February 2010 entries
March 2010 entries
April 2010 entries
May 2010 entries
32
34
36
39
41
32
34
36
39
41
Post
Seq.
Description
68-1
71-1
71-4
89-1
93-1
93-2
98-1
98-2
98-5
103-1
103-2
103-3
112-1
119-1
119-2
119-3
119-4
121-1
121-3
121-4
76-1
86-1
94-1
104-1
122-1
76-1
86-1
94-1
104-1
122-1
Batch Entry
01/12/2010
01/04/2010
01/08/2010
03/03/2010
03/18/2010
03/18/2010
04/05/2010
04/05/2010
04/05/2010
04/20/2010
04/20/2010
04/20/2010
05/10/2010
05/28/2010
05/28/2010
05/28/2010
05/28/2010
05/31/2010
05/31/2010
05/31/2010
01/31/2010
02/28/2010
03/31/2010
04/30/2010
05/31/2010
01/31/2010
02/28/2010
03/31/2010
04/30/2010
05/31/2010
Date
2010
2010
2010
2010
2010
2010
2010
2010
2010
2010
2010
2010
2010
2010
2010
2010
2010
2010
2010
2010
2010
2010
2010
2010
2010
2010
2010
2010
2010
2010
Yr.
01
01
01
03
03
03
04
04
04
04
04
04
05
05
05
05
05
05
05
05
01
02
03
04
05
01
02
03
04
05
AR-AD
AR-IN
AR-IN
AR-IN
AR-IN
AR-IN
AR-IN
AR-IN
AR-IN
AR-IN
AR-IN
AR-IN
AR-IN
AR-IN
AR-IN
AR-IN
AR-IN
AR-IN
AR-IN
AR-IN
GL-JE
GL-JE
GL-JE
GL-JE
GL-JE
GL-JE
GL-JE
GL-JE
GL-JE
GL-JE
Source
Prd. Code
Transaction Journal
[ ] To [ZZZZZZZZZZZZZZZZZZZZZZZZZZZZZZZZZZZZZZZZZZZZZ]
[2010-01] To [2010-12]
[ ] To [zzzzzzzzzzzzzzzzzzzzzz]
[01/01/2010] To [12/31/2010]
[0000000] To [9999999]
[000000] To [999999]
[GL-JE, AR-AD, AR-IN, GL-AR, IC-SH, OE-IN, OE-CN]
[Account Number]
Account Number/
Reference
14.80
3,093.35
12,048.29
1,816.91
4,660.00
6,074.34
2,549.11
1,578.54
3,470.59
1,571.81
2,515.53
2,564.91
2,595.28
2,361.68
1,359.93
2,361.68
2,361.68
201.51
251.87
241.81
164,973.30
14,934.95
150,038.35
313,058.53
31,253.93
63,865.18
72,479.15
85,159.68
60,300.59
Debits
40,489.71
584.60
8,783.29
31,121.82
0.00
Credits
Quantities Units
Page 1
Source Journals
621
Batch Status
Batch Status
The Batch Status report provides a record of all General Ledger
batches, including batches entered and imported into General
Ledger, created by a subledger, and generated by periodic
processing. The report also lists batches that have been posted
provisionally and batches that have been deleted or posted to the
current year or a previous year since the last time the report was
printed and cleared. The Batch Status report is a valuable
management tool for tracking batches, particularly when several
operators are entering batches on a multi-user system.
Features
Order criteria
Selection criteria
Procedures
622
1.
2.
3.
4.
Entered
Subledger
Imported
Generated
Recurring
Type
Reports
0
42
0
0
0
0
5
0
0
0
No. Of
No. Of
Entries Batches
No
No
Yes
No
Yes
10
0
0
32
0
0
0
No. Of
Entries
Subledger
Subledger
Subledger
Subledger
Subledger
Printed Type
Open
Deleted
Ready To Post
Posted
Post In Progress
Prov. Posted
Prov. Post In Prog.
0
0
0
0
0
0.00
18,252.15
0.00
0.00
0.00
0.00
18,252.15
0.00
0.00
0.00
Summary
Posted
Posted
Open
Deleted
Open
Quantity Status
06/23/2010
06/23/2010
10/25/2001
06/30/2010
10/25/2001
Total
Credits
06/23/2010
06/23/2010
06/23/2010
06/30/2010
06/30/2010
Date Last
Edited
Status
Total
Debits
16
16
2
0
8
PO
AP
AP
IC
PO
000131
000132
000133
000134
000135
No. of Date
Srce Entries Created
5 batches printed
[000131] To [000135]
[ ] To [ZZ]
[01/01/2010] To [06/30/2010]
[Entered, Subledger, Imported, Generated, Recurring]
[Open, Deleted, Posted, Prov. Posted, Post In Progress, Ready To Post, Prov. Post In Progress]
Batch
Number Description
2
1
0
2
0
0
0
No. Of
Batches
43
43
0
0
0
0
0
0
0
0
Post
Seq. Errors
Debits
4,599.62
0.00
0.00
13,652.53
0.00
0.00
0.00
Total
Debits
6,817.88
6,834.65
2,573.90
0.00
2,025.72
Credits
4,599.62
0.00
0.00
13,652.53
0.00
0.00
0.00
Total
Credits
6,817.88
6,834.65
2,573.90
0.00
2,025.72
0
0
0
0
0
0
0
Quantity
0
0
0
0
0
Quantity
Page 1
Batch Status
User Guide
623
Batch Listing
Batch Listing
This report lists journal entries from one or more batches that
have not yet been permanently posted to General Ledger
accounts, including batch entry detail lines with their related
descriptions, references, and comments. You can print the Batch
Listing as many times as you want until you post the batch.
Features
Order criteria
Selection criteria
Currency
Procedures
1.
2.
Select transactions to
be printed
3.
4.
To print the report, click the Print button; to cancel it, click
the Close button.
624
Reports
Select a currency
format
Trans
Date
User Guide
Reports
1020
Service charge
1020
Service charge
1020
Service charge
Service charge
Service charge
Entry Total:
Service charge
Entry Total:
Service charge
Entry Total:
Service charge
Entry Total:
1020
Open
Service charge
Status:
Account Number
Service charge
Description
[000138] To [000138]
[ ] To [ZZ]
[01/01/2010] To [06/30/2010]
[Yes]
[Open, Prov. Posted, Ready To Post]
[Entered, Subledger, Imported, Generated, Recurring]
Reference
Srce.
15.00
15.00
15.00
15.00
15.00
15.00
15.00
15.00
15.00
Type: Recurring
Debits
15.00
15.00
15.00
15.00
15.00
15.00
15.00
15.00
15.00
Credits
Quantity UOM
Page 1
Batch Listing
Batch Listing
625
Posting Journals
Posting Journals
The Posting Journal is the printed record of transactions,
including adjusting and closing entries that were posted to
General Ledger accounts. It forms an essential part of the audit
trail, linking the batch listings to the general ledger listings. The
Posting Journal notes any posting errors and lists the error batch
number. This feature helps you determine why a batch may
have failed to post properly. The journal includes any comment
lines that were entered with the posted details.
Print the Journal in account number order or in posting sequence
order. (All batches posted at one time are assigned the same
posting sequence number.)
You can also select the range of posting sequences to print. Once
you have printed the journal to a printer or file, you can clear the
data for the posting sequences printed, but you do not have to
clear the journal between posting sequences. You can keep
adding to it with each posting.
Features
Order criteria
Selection criteria
You can print the Posting Journal, the Posting Journal Errors,
the Provisional Posting Journal, or the Provisional Posting
Journal Errors.
You can reprint previously printed journals. You can also clear
all printed journals using the Clear History form in the Periodic
Processing folder.
Multicurrency details
626
Rate type
Rate date
Exchange rate
Currency
Reports
Posting Journals
Currency options
1.
2.
Select transactions to
be printed
3.
Check to reprint
4.
Select a currency
5.
Procedures
6.
To print the report, click the Print button; to cancel it, click
the Close button.
User Guide
627
Reports
131-4
06/23/2010
06/23/2010
131-3
06/23/2010
06/23/2010
131-2
06/23/2010
06/23/2010
131-1
06/23/2010
06/23/2010
129-2
06/15/2010
06/15/2010
129-1
06/15/2010
06/15/2010
128-2
06/15/2010
06/15/2010
128-1
06/15/2010
06/15/2010
2010
Bargain Mart - Oakland
Bargain Mart - Oakland
2010
Astral Construction Co
Astral Construction Co
2010
Mr. Ronald Black
Mr. Ronald Black
2010
House of Wood, Inc.
House of Wood, Inc.
2010
RCP00000057
RCP00000057
2010
RCP00000058
RCP00000058
2010
RCP00000059
RCP00000059
2010
RCP00000060
RCP00000060
06
AR-IN
AR-IN
06
AR-IN
AR-IN
06
AR-PI
AR-PY
06
AR-PY
AR-PY
06
PO-RC
PO-RC
06
PO-RC
PO-RC
06
PO-RC
PO-RC
06
PO-RC
PO-RC
Batch-Entry Period/
Year/
Trans. Date Source Code Reference
Reports
628
06/23/2010
Jun 2010 receipt - 1350
Jun 2010 receipt - 1350
06/23/2010
Jun 2010 receipt - 1200
Jun 2010 receipt - 1200
06/23/2010
Jun 2010 receipt - 2300
Jun 2010 receipt - 2300
06/23/2010
Jun 2010 receipt - 1450
Jun 2010 receipt - 1450
06/15/2010
Equipment rental
Misc. receipt - rental
06/15/2010
Received in advance from Ron
Received in advance from Ron
Desk Sales
06/15/2010
Desk Sales
06/15/2010
Entry Date/
Description
2040
1300
2040
1300
2040
1300
2040
1300
4210
1020
2030
1020
1115
4030
1115
4030
Entry Total:
Entry Total:
Entry Total:
Entry Total:
Entry Total:
Entry Total:
Entry Total:
Account Number
187.07
447.80
447.80
2,806.15
2,806.15
400.03
400.03
1,472.00
1,472.00
73.60
73.60
522.85
522.85
522.85
522.85
Debits
187.07
447.80
447.80
2,806.15
2,806.15
400.03
400.03
1,472.00
1,472.00
73.60
73.60
522.85
522.85
522.85
522.85
Credits
Quantity UOM
Page 1
Posting Journals
User Guide
2010
Donald & Donald
Donald & Donald
Donald & Donald
2010
Fred's Cleaning Servic
Fred's Cleaning Servic
Fred's Cleaning Servic
2010
Stewart Office Supplie
Stewart Office Supplie
Stewart Office Supplie
Stewart Office Supplie
2010
New Look Interiors of
New Look Interiors of
New Look Interiors of
2010
Koyo Precision Bearing
Koyo Precision Bearing
Koyo Precision Bearing
06
AP-IN
AP-IN
AP-IN
06
AP-IN
AP-IN
AP-IN
06
AP-IN
AP-IN
AP-IN
AP-IN
06
AP-IN
AP-IN
AP-IN
06
AP-IN
AP-IN
AP-IN
132-12
06/23/2010
06/23/2010
06/23/2010
132-13
06/23/2010
06/23/2010
06/23/2010
132-14
06/23/2010
06/23/2010
06/23/2010
06/23/2010
132-15
06/23/2010
06/23/2010
06/23/2010
132-16
06/23/2010
06/23/2010
06/23/2010
Reports
36 entries printed
1 posting sequence printed
Deca Management
Deca Management
Deca Management
AP-IN
AP-IN
AP-GL
06/23/2010
06/23/2010
06/23/2010
Batch-Entry Period/
Year/
Trans. Date Source Code Reference
06/23/2010
Jun 2010 receipt - 7400
06/23/2010
Jun 2010 receipt - 7300
06/23/2010
Jun 2010 receipt - 7100
06/23/2010
Jun 2010 receipt - 5080
06/23/2010
Jun 2010 receipt 5030
Entry Date/
Description
2015
2040
2040
2015
2040
2040
2015
2040
2040
1150
2015
2040
2040
2015
2040
2040
2040
2040
7110
Posted Total:
Entry Total:
Entry Total:
Entry Total:
Entry Total:
Entry Total:
Entry Total:
Account Number
16,243.83
306.40
278.55
27.85
256.21
222.80
33.41
270.36
239.25
14.36
16.75
597.06
551.55
45.51
212.24
196.06
16.18
532.58
491.98
40.59
0.01
Debits
16,243.83
306.40
306.40
256.21
256.21
270.36
270.36
597.06
597.06
212.24
212.24
532.58
Credits
Quantity UOM
Page 5
Posting Journals
629
Account Structures
Account Structures
The Account Structures report provides a record of the account
structures you set up in the Account Structures form, including
the codes, descriptions, and the segments used in each structure.
Features
Order criteria
Selection criteria
Procedures
1.
2.
3.
4.
To print the report, click the Print button; to cancel it, click
the Close button.
[ ] To [ZZZZZZ]
Description
Segments Used
ACC
Account structure
Account
ACCDIV
Divisional structure
Account
Division
REGION
Regional structure
Account
Division
Region
Reports
Structure Code
630
Page 1
Segment Codes
Segment Codes
The Segment Codes report provides a record of the codes and
their descriptions for the segments you have created to
constitute your general ledger account.
Features
Order criteria
Selection criteria
Procedures
If you haven't already done so, set up segments on the
Segments tab of the G/L Options form and assign valid
segment codes in the Segment Codes form.
Display the Segment Codes Report form by choosing the
Segment Codes icon from the G/L Reports folder.
Select segments to
print
To print the report, click the Print button; to cancel it, click the
Close button.
Reports
User Guide
631
632
Region
Division
10
20
30
40
100
200
Code
Segment Name
Region
Northern
Southern
Eastern
Western
Division
Commercial
Retail
Segment Description
[ ] To [ZZZZZZZZZZZZZZZ]
4 segments printed
2 segments printed
Account Description
Page 1
Segment Codes
Source Codes
Source Codes
The Source Codes report provides a record of the source codes
you defined in the Setup Source Codes form. For each code, the
report includes the description.
Source code required
Features
Order criteria
Selection criteria
Procedures
Before using this function, set up source codes in the
Source Codes form.
2.
3.
4.
To print the report, click the Print button; to cancel it, click
the Close button.
User Guide
633
Reports
1.
Source Codes
[ ] To [JC-RE]
Source Code
Description
AP-AD
AP-CK
AP-CO
AP-CR
AP-DB
AP-DS
AP-ED
AP-GL
AP-IN
AP-IT
AP-MC
AP-PI
AP-PY
AP-RV
AR-AD
AR-CA
AR-CO
AR-CR
AR-DB
AR-DS
AR-ED
AR-GL
AR-IN
AR-IT
AR-PI
AR-PY
AR-RC
AR-RV
AR-UC
AR-WO
BK-CK
BK-CO
BK-DP
BK-EN
BK-ER
BK-TF
GL-AP
GL-AR
GL-CL
GL-CO
GL-CV
GL-JE
GL-RT
GL-RV
IC-AD
IC-AS
IC-CO
IC-RA
IC-RC
IC-RR
IC-SH
IC-SR
IC-TF
JC-CL
JC-JC
JC-RE
A/P Adjustment
A/P Checks
A/P Consolidation
A/P Credit Note
A/P Debit Note
A/P Discount
A/P Discount
A/P Revaluation
A/P Invoice
A/P Interest
A/P Manual Checks
A/P Prepayment
A/P Check
A/P Revaluation
A/R Adjustment
A/R Cash
A/R Consolidation
A/R Credit Note
A/R Debit Note
A/R Discount
A/R Discount
A/R Revaluation
A/R Invoice
A/R Interest Charge
A/R Prepayment
A/R Payment Received
A/R Recurring Charges
A/R Revaluation
A/R Unapplied Cash
A/R Write-Off
Bank Checks
Bank Consolidated Entry
Bank Deposits
Bank Entries
Bank Rec. Discrepancies
Bank Transfers
A/P Adjustments (G/L entry)
A/R Adjustments (G/L entry)
G/L Closing Entry
G/L Consolidated Entry
G/L Data Conversion Entry
G/L Journal Entry
G/L Reallocation Transactions
G/L Revaluation Transactions
I/C Adjustments
I/C Assemblies
I/C Consolidated Entry
I/C Receipt Adjustments
I/C Receipts
I/C Receipt Returns
I/C Shipments
I/C Shipment Returns
I/C Transfers
J/C Job Closings
J/C Costs
J/C Revenue/Expenses
634
Page 1
Features
Order criteria
Selection criteria
Procedures
If you haven't already done so, set up source journal profiles
using the Source Journal Profiles form.
Display the Source Journal Profiles Report form by choosing
the Source Journal Profiles icon from the G/L Reports folder.
Select range
To print the report, click the Print button; to cancel it, click the
Close button.
Sample Company Inc.
Page 1
[ ] To [ZZZZZZZZZZZZZZZZZZZZZZZZZZZZZZ]
Source Code
Reports
Source Journal
User Guide
635
Revaluation Codes
Revaluation Codes
The Revaluation Codes report provides a record of the
revaluation codes you set up in the Revaluation Codes form,
including the description, revaluation method, rate type, source
codes, and unrealized exchange gain and loss account numbers.
Features
Order criteria
Selection criteria
Procedures
1.
2.
3.
4.
To print the report, click the Print button; to cancel it, click
the Close button.
Page 1
[ ] To [ZZZZZZ]
Revaluation
Code
Description
Revalue
Rate
Type
Source
Code
SPOT
Current Balance
SP
GL-RV
3500-200
3510-200
636
Reports
Options
Options
The G/L Options report provides a record of the General Ledger
options you set up using the G/L Options form.
Features
Order criteria
The report prints the data in order by the tab and field in the
Options form.
Procedures
1.
2.
3.
To print the report, click the Print button; to cancel it, click
the Close button.
Reports
User Guide
637
Options
Page 1
Company
Sample Company Limited
123 Sample Company Plaza
Any City Any Province
V6J 9T3 Canada
ID: SAMLTD
Contact: Ms. Smith
Accounts
CAD
Yes
Yes
0
Yes
SP
3200
Yes
Yes
All Fields
No
No
No
No
No
No
138
44
1
3 years
3 years
2010
2008
2008
Functional Currency:
Use Multicurrency:
Maintain Quantities:
Decimals in Quantities:
Posting Options
Account Segments
Default Structure Code: ACCDIV
Segment
1
2
3
Segment Delimiter: -
Description
Account
Division
Region
638
Account Segment: 1
Length
4
3
2
Use in Closing
No
Yes
Yes
Selection criteria
You can choose the range of codes to print, and you can have the
report show the schedule for the recurring entry, if you wish.
Procedures
To print the recurring entry report:
1.
2.
3.
4.
Click Print.
Reports
User Guide
639
640
Account Number
6110
Expiration Type:
Last Maintained:
1020
Account Number
6110
MONTHLY
Monthly
Every 1 month(s) on the 1st day
Reference/Description
CCB
Monthly charge
CCB
Monthly charge
Schedule:
Recurring Period:
Fequency:
GL-JE
Source
GL-JE
Bank account, operating
Account Description
Bank charges and errors
No Expiration Date
01/01/2009
No
Curr.
Exchange Rate/
Rate Type/Date
1.0000000
CAD
SP
01/01/2009
1.0000000
CAD
SP
01/01/2009
Total:
CAD
No
Exchange Rate/
Rate Type/Date
1.0000000
CAD
SP
01/01/2009
1.0000000
CAD
SP
01/01/2009
Total:
CAD
Curr.
Account Description
Bank charges and errors
No Expiration Date
01/01/2009
Start Date:
Expiration Type:
01/01/2009
Inactive On:
Last Maintained:
Monthly bank service charge
Description:
Exchange Rate: Use recurring entry rate
MONTHLY
Monthly
Every 1 month(s) on the 1st day
Reference/Description
SEATAC
Service charge
SEATAC
Service charge
Schedule:
Recurring Period:
Fequency:
GL-JE
Source
GL-JE
Start Date:
01/01/2009
Inactive On:
Monthly service charge
Description:
Exchange Rate: Use recurring entry rate
[ ] To [ZZZZZZZZZZZZZZZ]
15.00
15.00
25.00
25.00
Report Total:
25.00
0.00
15.00
0.00
15.00
15.00
15.00
40.00
25.00
25.00
0.00
40.00
25.00
25.00
25.00
15.00
15.00
0.00
Page 1
Financial Reports
Financial Reports
Financial reports (such as balance sheets and income statements)
that are printed from the G/L Print Financial Statements form
use transaction data stored by General Ledger. You can produce
financial reports based on predefined specifications or you can
design your own financial reports from scratch.
Use the Statement Designer in the Financial Reporter folder to
modify existing reports and create new ones. Designing financial
reports is not covered in this guide. For more information,
including samples of financial reports, see the Financial Reporter
User Guide.
To print reports:
Choose Print Financial Statements from the Financial
Reporter folder.
2.
3.
User Guide
641
Reports
1.
Financial Reports
642
Financial Reports
Reports
User Guide
643
Appendix A
Error Messages
Error messages are one of the types of messages that appear in
ACCPAC. The other types are Warnings and Confirmations.
Error messages identify conditions that prevent the program
from proceeding. In most cases, error messages start with a
phrase (a category) such as System error or Incorrect
procedure, followed by a sentence that describes the problem
more specifically. In some cases, the message includes
suggestions for action.
For information about the steps to follow to correct an error, you
should look up the error category, either in Appendix A in the
System Manager User Guide, or in the list of categories that
appears when you choose the Help button in the error message
window.
A1
Error
Messages
User Guide
A2
2.
Look for a topic title that is the same as the first few words in
the message.
3.
Click the message you want to find out more about. It will
link you to more detailed information.
4.
5.
If you dont see any listings that match your message, choose
Confirmations, Warnings, and Miscellaneous errors at the
bottom of the screen and look for the message in the list that
appears next.
A3
Error
Messages
User Guide
Setup
Checklist
Appendix B
Setup Checklist
and Data Entry Forms
General Ledger Setup Checklist ................................................. B1
General Ledger Data Entry Forms ............................................... B2
Sample Setup Checklist and Data Entry Forms .................................... B3
User Guide
Bi
Setup
Checklist
Appendix B
Setup Checklist
and Data Entry Forms
This appendix describes the General Ledger Setup Checklist and
data entry forms that ship with the General Ledger.
You can print the Setup Checklist and use it as you follow the
step-by-step instructions for setting up General Ledger in
Chapter 3 of Getting Started.
You can print the data entry forms and fill them out with the
data you will enter in General Ledger. The forms are useful for
organizing and entering data, and to keep as records of when
and by whom the data was entered.
The sections in this appendix:
User Guide
B1
Adding data.
Preparing and testing formats for printed reports.
B2
2.
3.
4.
From the File menu, click Print. Adjust the settings, and then
click OK.
User Guide
B3
Setup
Checklist
Date
Completed by
Approved by
Install General Ledger. (You should have already installed and set up the
System Manager.)
If you want to use predefined financial reports, select the Account Groups
box.
If you want to maintain quantities, enter the number of decimal places you
can use to enter quantities.
Select the Force Listing of Batches box to require batch listings to be printed
before they can be selected for posting.
Specify whether imported entries can be edited, and, if so, which fields.
Enter the number of years to retain fiscal sets (Enterprise maximum = 99; Corporate
maximum = 5; Small Business and Discovery maximum = 2).
Enter the number of years to retain transaction details (Enterprise maximum = 99;
Corporate maximum = 5; Small Business and Discovery maximum = 2).
For each segment, enter a segment name, specify the length, and indicate
whether to use the segment in closing (Enterprise maximum = 10; Corporate
maximum = 3; Small Business and Discovery maximum = 2).
B4
Page 1 of 2
Date
Completed by
Approved by
In the G/L Accounts window, enter all your general ledger accounts.
If you use multicurrency, return to the Options notebook to enter the default
closing account.
Add and post year-to-date transactions (if the current fiscal year is already
underway).
9. Add Data.
In the Recurring Entries window, add an entry for each recurring transaction.
Page 2 of 2
User Guide
B5
Setup
Checklist
Date
Completed by
Approved by
Address
Telephone:
Fax Number:
Account
Multicurrency
Use Account Groups
Budget Set 1
Budget Set 2
Budget Set 3
Budget Set 4
Budget Set 5
Keep
Segments
Default Structure Code:
Account Segment
Segment Delimiter
Segment
No.
1
Length
. )
Use in
Closing (Y/N)
2
3
1
5
6
7
8
9
10
B6
Filename: GL-OPTS.PDF
Date
Completed by
Approved by
Add
Edit
Delete
Export
Segment Name:
Segment Code
Closing Account
1
2
3
1
5
6
7
8
9
10
Add
Edit
Delete
Export
Segment Name:
Segment Code
Closing Account
1
2
3
1
5
6
7
8
9
10
Filename: GL-SEG.PDF
User Guide
B7
Setup
Checklist
Date
Completed by
Approved by
Add
Edit
Delete
Export
Use As Company Default Structure
Structure Code:
Description:
Segments to Be Used in this Structure:
Add
Edit
Delete
Export
Use As Company Default Structure
Structure Code:
Description:
Segments to Be Used in this Structure:
Add
Edit
Delete
Structure Code:
Export
Use As Company Default Structure
Description:
Segments to Be Used in this Structure:
B8
Filename: GL-ACCS.PDF
Date
Completed by
Approved by
Add
Edit
Delete
Export
Revaluation Code:
Description:
(max. of 30 characters)
Rate Type:
Source Code:
Unrealized Exchange
Gain Account:
Unrealized Exchange
Loss Account:
Add
Edit
Delete
Export
Revaluation Code:
Description:
(max. of 30 characters)
Rate Type:
Source Code:
Unrealized Exchange
Gain Account:
Unrealized Exchange
Loss Account:
Add
Edit
Delete
Export
Revaluation Code:
Description:
(max. of 30 characters)
Rate Type:
Source Code:
Unrealized Exchange
Gain Account:
Unrealized Exchange
Loss Account:
Add
Edit
Delete
Export
Revaluation Code:
Description:
(max. of 30 characters)
Rate Type:
Source Code:
Unrealized Exchange
Gain Account:
Unrealized Exchange
Loss Account:
Filename: GL-REVAL.PDF
User Guide
B9
Setup
Checklist
Date
Completed by
Approved by
Add
Edit
Delete
Export
Source Code:
Description:
(max. of 30 characters)
Add
Edit
Delete
Export
Source Code:
Description:
(max. of 30 characters)
Add
Edit
Delete
Export
Source Code:
Description:
(max. of 30 characters)
Add
Edit
Delete
Export
Source Code:
Description:
(max. of 30 characters)
Add
Edit
Delete
Export
Source Code:
Description:
B10
(max. of 30 characters)
Filename: GL-SRCE.PDF
Date
Completed by
Approved by
Add
Edit
Delete
Export
Filename: GL-JOURN.PDF
User Guide
B11
Setup
Checklist
Date
Completed by
Approved by
Action
Edit
Delete
Export
Description:
Account
(Max. of 30 characters)
Detail
Structure Code:
Account Type:
(Income, Balance Sheet, Retained Earnings)
Normal Balance:
(Debit, Credit)
Account Group:
Active
Inactive
Consolidated
Units:
Close to Segment:
Auto Allocation
Source Code:
Account
Reference
Percent
Valid Currencies
Post In (choose one):
Specified Currencies
All Currencies
Default Currency:
Source
Currency
B12
Revaluation Revaluation
(Y/N)
Code
Filename: GL-ACC.PDF
Date
Completed by
Approved by
Year:
Currency Type:
Period End Date
Currency:
(Source, Equivalent, Functional, Reportng)
Budget Amount
Account:
Fiscal Set:
Year:
Currency:
Currency Type:
6
7
8
9
10
11
12
13
Budget Method
Fixed Amount:
Spread Amount:
Base Amount:
Percent of Increase:
Base Amount:
Amount of Increase:
Copy, As Is:
Coy, Percent of Increase:
Copy Amount of Increase:
Copy, Prorated Spread Amount:
Filename: GL-BUDGT.PDF
User Guide
B13
Setup
Checklist
B14
/
Ref'ce
Description
Line
No.
Auto Reversal
Year:
Entry Description:
Entry No.
Date
(mm/dd/yy)
Batch Description:
Batch No.
Quick
Account
Period:
Debit
Source
Code:
Credit
Total
Credit:
Approved by
Completed by
Quantity Date
Total
Debit:
Filename: GL-JESC.PDF
Source
Code
(Max. 30 characters)
(Max. 30 characters)
Date
User Guide
B15
Description
Year:
Account
Ref'ce
Auto Reversal
Line
No.
Entry Description:
Entry No.:
Date
(mm/dd/yy):
Batch Description:
Batch No.:
Quick
Source
Currency Debit
Period:
Source
Credit
Source
Code:
Qty
Date
Total
Credit:
Source Rate
Code
Type
Approved by
Completed by
Rate
Func.
Credit
Filename: GL-JEMC.PDF
Func.
Debit
Total
Debit:
(Max. 30 characters)
(Max. 30 characters)
Date
Setup
Checklist
B16
Add
Ref'ce
Edit
Description
Start Date:
Delete
Export
Source
Debit
Source
Credit
Quantity
Rounding Account:
Auto Reversal
Quick
Specific Date:
Normal
No Expiration Date
Line
No.
Exchange Rate:
Entry Mode:
Source Code:
Description:
Expiration Type:
Schedule Code:
Description:
Action
Date
Source
Code
Approved by
Setup by
Comment
GL-RECJE.PDF
Date
User Guide
Ci
Importing and
Exporting
Appendix C
Importing and Exporting
User Guide
C1
Importing and
Exporting
Appendix C
Importing and Exporting
This appendix describes the account data you can import and
export.
For information about file formats, templates, and the steps you
follow to import and export data, see the System Manager User
Guide.
Export sample data
to see format
Importing account
data can damage
your ledger
C2
Account Master
Allocation
information
*Unformatted account
Account create date
Account description
Account type
Normal balance DR/CR
Account status
Consolidate journals
Quantities allowed
Unit of measure
Allocations allowed
Allocation offset account
Allocation source type
Multicurrency
Specific currency switch
Account group
Control account switch
Control source ledger
Total of allocation rates
Structure code
Post to segment code
Default currency code
*Account number
*Distribution account
Allocation description
Allocation journal reference
Allocation distribution rate
*Account number
*Currency code
Revaluation switch
Revaluation code
User Guide
C3
Importing and
Exporting
You can import and export the following account master fields:
*Account number
*Fiscal set year
*Fiscal set designator
*Currency code
*Currency type
RESERVED Revaluation switch
RESERVED Revaluation code
Source currency
Beginning balance
Period 01 through Period 15 net amount
Period 15 net amount
RESERVED Date used for conversion
Allow specific currencies switch
RESERVED Perform conversion
Year-to-date amount
Period 01 through Period 15 balance amount
Replacement switch
Override rate type code
Override rate
Activity switch
Account Mappings
You can import and export the following account mappings
fields:
C4
*DOS account
*DOS department
Description
Account number
*Batch number
*Entry number
*Source ledger
*Source type
Fiscal year
Fiscal period
Journal accrual reversal
Batch description
Entry date
Journal edit
Journal debit
Journal credit
Journal quantity
Out of balance by
You can import and export the following journal detail fields:
*Batch number
*Entry number
*Journal transaction number
Account number
Company code
Journal transaction amount
Journal transaction quantity
Number of source currency decimals
Source currency amount
Currency rate table
Source currency code
Date of currency rate selected
Currency rate for conversion
Currency rate spread allowed
Code for date rate matching
Currency rate operator
Journal detail description
Journal detail reference
Journal date
Source ledger code
User Guide
C5
Importing and
Exporting
You can import and export the following journal header fields:
Exporting fields
Revaluation Code
You can import and export the following revaluation code fields:
*Revaluation code
Description
Rate type
Source code
Source type
Unrealized/Ex. Gain Acct
Unrealized/Ex. Loss Acct
Segment Codes
You can import and export the following segment code fields:
*Segment number
*Segment code
Segment code description
CloseTo account number
Source Code
You can import and export the following source code fields:
C6
Importing and
Exporting
Source code 01
Source type 01 through 50
Source code 50
CA-RET functional currency report name
CA-RET source currency report name
Structure Codes
You can import and export the following structure code fields:
*Structure code
Description
Segment numbers 1 through 10
RESERVED Acct seg 1 delimiter through 10
User Guide
C7
Even if you don't plan to use the sample chart of accounts, you
should review the sample data to see how it uses reallocation
accounts, segments, and account structures, and other General
Ledger features.
The more you know about General Ledger before you start to
use it, the more you can take advantage of its many features.
C8
Before you create your own ledger, you should read the
following sections of the General Ledger manuals:
User Guide
C9
Importing and
Exporting
Overview of steps
2.
C10
3.
Enter the Fiscal Year Starting Date and click Proceed in the
Common Services Activation form to activate Common
Services.
4.
5.
6.
Enter the oldest year for which you want historical data and
the current fiscal year and click Proceed.
7.
User Guide
C11
Importing and
Exporting
2.
C12
Step 10: Define Source Journal Profiles In the Source Journal Profiles
form, you define the contents of source journals. You define each
journal as a set of source codes for the system to use to select the
transactions you want to include on the printed journal.
For information on defining your source journal profiles, refer to
the section Set Up Journal Profiles in Chapter 3, Setting Up
General Ledger, in the General Ledger Getting Started manual.
User Guide
C13
Importing and
Exporting
C14
Page 1
[ ] To [ZZZZZZZZZZZZZZZZZZZZZZZZZZZZZZZZZZZZZZZZZZZZZ]
[Current assets] To [Other]
[Account Number]
Account Number
Description
Status
Acct
Config.
Post
In
Structure
Code
1000
1020
1021
1022
1023
1030
1100
1115
1120
1140
1190
1200
1300
1320
1400
1420
1430
1440
1500
1520
1540
1550
1600
1620
1640
1700
1710
1720
1730
2000
2010
2015
2020
2030
2040
2050
2055
2060
2070
2100
2200
2210
2220
2225
2230
2235
2240
2250
2260
2270
2280
2290
2300
2310
2320
2350
2400
Petty cash
Bank account, operating
Bank account, American Express
Bank account, VISA
Bank account, Mastercard
Bank account, payroll
Accts receivable, intercompany
Accounts receivable, trade
Accounts receivable, employees
Accounts receivable, other
Allowance for doubtful accts.
Investments, short term
Inventory
Inventory, assembled
Prepaid insurance
Prepaid taxes
Prepaid rent
Prepayment, AP purchases
Furniture and fixtures
Equipment
Buildings
Land
Acc. depreciation
Acc. depreciation Equipment
Acc. depreciation Buildings
Leasehold improvements
Acc. depreciation, leasehold
Organization costs
Acc. depreciation, org. costs
Bank operating loan
Accts payable, intercompany
Accounts payable, trade
Accounts payable, other
Prepayment liability
Accts payable, clearing
Non stock clearing
Transfer clearing
Dividends payable
Deposits received
Wages payable
Federal tax payable
FUTA payable
Employee FICA tax payable
Employee medicare payable
Employer FICA tax payable
Employer medicare payable
State income tax payable
Employee SUTA tax payable
Employer SUTA tax payable
Employee SDI payable
Employer SDI payable
City income tax withheld
Employee benefits payable
Employee pension payable
401K Employer Liability
Employee deductions payable
State sales tax payable
Active
Active
Active
Active
Active
Active
Active
Active
Active
Active
Active
Active
Active
Active
Active
Active
Active
Active
Active
Active
Active
Active
Active
Active
Active
Active
Active
Active
Active
Active
Active
Active
Active
Active
Active
Active
Active
Active
Active
Active
Active
Active
Active
Active
Active
Active
Active
Active
Active
Active
Active
Active
Active
Active
Active
Active
Active
B,DR,F
B,DR,F
B,DR,F
B,DR,F
B,DR,F
B,DR,F
B,DR,F
B,DR,F
B,DR,F
B,DR,F
B,CR,F
B,DR,F
B,DR,F
B,DR,F
B,DR,F
B,DR,F
B,DR,F
B,DR,F
B,DR,F
B,DR,F
B,DR,F
B,DR,F
B,CR,F
B,CR,F
B,CR,F
B,DR,F
B,CR,F
B,DR,F
B,CR,F
B,DR,F
B,CR,F
B,CR,F
B,CR,F
B,CR,F
B,CR,F
B,CR,F
B,CR,F
B,CR,F
B,CR,F
B,CR,F
B,CR,F
B,CR,F
B,CR,F
B,CR,F
B,CR,F
B,CR,F
B,CR,F
B,CR,F
B,CR,F
B,CR,F
B,CR,F
B,CR,F
B,CR,F
B,CR,F
B,CR,F
B,CR,F
B,CR,F
Detail
Detail
Detail
Detail
Detail
Detail
Detail
Detail
Detail
Detail
Detail
Detail
Detail
Detail
Detail
Detail
Detail
Detail
Detail
Detail
Detail
Detail
Detail
Detail
Detail
Detail
Detail
Detail
Detail
Detail
Detail
Detail
Detail
Detail
Detail
Detail
Detail
Detail
Detail
Detail
Detail
Detail
Detail
Detail
Detail
Detail
Detail
Detail
Detail
Detail
Detail
Detail
Detail
Detail
Detail
Detail
Detail
ACC
ACC
ACC
ACC
ACC
ACC
ACC
ACC
ACC
ACC
ACC
ACC
ACC
ACC
ACC
ACC
ACC
ACC
ACC
ACC
ACC
ACC
ACC
ACC
ACC
ACC
ACC
ACC
ACC
ACC
ACC
ACC
ACC
ACC
ACC
ACC
ACC
ACC
ACC
ACC
ACC
ACC
ACC
ACC
ACC
ACC
ACC
ACC
ACC
ACC
ACC
ACC
ACC
ACC
ACC
ACC
ACC
Cntrl.
Acct.
Qty.
Units
Auto
Alloc.
Yes
Yes
Yes
Yes
User Guide
C15
Importing and
Exporting
Date:
Tuesday, October 16, 2001 3:09PM
Chart Of Accounts - Short Form (GLCHTA01)
Date:
Tuesday, October 16, 2001 3:09PM
Chart Of Accounts - Short Form (GLCHTA01)
C16
Page 2
Account Number
Description
Status
Acct
Config.
Post
In
Structure
Code
2410
2415
2420
2500
2700
2710
2800
2900
3000
3100
3200
3200-100
3200-200
3300
4000
4000-100
4000-100-10
4000-100-20
4000-200
4000-200-10
4000-200-20
4010
4010-100
4010-100-10
4010-100-20
4010-100-30
4010-100-40
4010-200
4010-200-10
4010-200-20
4010-200-30
4010-200-40
4020
4030
4040
4050
4060
4100
4150
4150-100
4150-200
4200
4210
4220
4230
4230-100
4230-200
4230-200-40
5000
5000-100
5000-100-10
5000-100-20
5000-200
5000-200-10
5000-200-20
5010
5010-100
5010-100-10
5010-100-20
5010-100-30
Active
Active
Active
Active
Active
Active
Active
Active
Active
Active
Active
Active
Active
Active
Active
Active
Active
Active
Active
Active
Active
Active
Active
Active
Active
Active
Active
Active
Active
Active
Active
Active
Active
Active
Active
Active
Active
Active
Active
Active
Active
Active
Active
Active
Active
Active
Active
Active
Active
Active
Active
Active
Active
Active
Active
Active
Active
Active
Active
Active
B,CR,F
B,CR,F
B,CR,F
B,CR,F
B,CR,F
B,DR,F
B,CR,F
B,CR,F
B,CR,F
B,CR,F
R,CR,F
R,CR,F
R,CR,F
B,CR,F
I,CR,F
I,CR,F
I,CR,F
I,CR,F
I,CR,F
I,CR,F
I,CR,F
I,CR,F
I,CR,F
I,CR,F
I,CR,F
I,CR,F
I,CR,F
I,CR,F
I,CR,F
I,CR,F
I,CR,F
I,CR,F
I,CR,F
I,CR,F
I,CR,F
I,CR,F
I,CR,F
I,DR,F
I,DR,F
I,DR,F
I,DR,F
I,CR,F
I,CR,F
I,CR,F
I,CR,F
I,CR,F
I,CR,F
I,CR,F
I,DR,F
I,DR,F
I,DR,F
I,DR,F
I,DR,F
I,DR,F
I,DR,F
I,DR,F
I,DR,F
I,DR,F
I,DR,F
I,DR,F
Detail
Detail
Detail
Detail
Detail
Detail
Detail
Detail
Detail
Detail
Detail
Detail
Detail
Detail
Detail
Detail
Detail
Detail
Detail
Detail
Detail
Detail
Detail
Detail
Detail
Detail
Detail
Detail
Detail
Detail
Detail
Detail
Detail
Detail
Detail
Detail
Detail
Detail
Detail
Detail
Detail
Detail
Detail
Detail
Detail
Detail
Detail
Detail
Detail
Detail
Detail
Detail
Detail
Detail
Detail
Detail
Detail
Detail
Detail
Detail
ACC
ACC
ACC
ACC
ACC
ACC
ACC
ACC
ACC
ACC
ACC
ACCDIV
ACCDIV
ACC
ACC
ACCDIV
REGION
REGION
ACCDIV
REGION
REGION
ACC
ACCDIV
REGION
REGION
REGION
REGION
ACCDIV
REGION
REGION
REGION
REGION
ACC
ACC
ACC
ACC
ACC
ACC
ACC
ACCDIV
ACCDIV
ACC
ACC
ACC
ACC
ACCDIV
ACCDIV
REGION
ACC
ACCDIV
REGION
REGION
ACCDIV
REGION
REGION
ACC
ACCDIV
REGION
REGION
REGION
Cntrl.
Acct.
Qty.
Units
Yes
Yes
Yes
Yes
Yes
Yes
Yes
Yes
Yes
Yes
Yes
Yes
Yes
Yes
Yes
Yes
EACH
EACH
EACH
EACH
EACH
EACH
EACH
EACH
EACH
EACH
EACH
EACH
EACH
EACH
EACH
EACH
Auto
Alloc.
Page 3
Account Number
Description
Status
Acct
Config.
Post
In
Structure
Code
5010-100-40
5010-200
5010-200-10
5010-200-20
5010-200-30
5010-200-40
5020
5030
5040
5050
5500
6000
6000-100
6000-200
6010
6020
6040
6060
6080
6080-100
6080-200
6100
6110
6120
6120-100
6120-200
6140
6140-100
6140-200
6160
6180
6200
6200-100
6200-200
6220
6240
6240-100
6240-200
6250
6250-100
6250-200
6260
6280
6300
6320
6340
6350
6360
6380
6380-100
6380-200
6400
6500
6500-100
6500-200
6510-100
6510-200
6520
6540
6540-100
COGS, accessories
COGS, accessories
COGS, accessories
COGS, accessories
COGS, accessories
COGS, accessories
COGS, chairs
COGS, desks
COGS, cabinets
COGS, dividers
Cost variance
Accounting and legal fees
Accounting and legal fees
Accounting and legal fees
Administrative expenses
Advertising
Depreciation of leasehold
Depreciation of org. costs
Automotive
Automotive
Automotive
Bad debts
Bank charges and errors
Commissions
Commissions
Commissions
Delivery and distribution
Delivery and distribution
Delivery and distribution
Depreciation
Donations
Dues and subscriptions
Dues and subscriptions
Dues and subscriptions
Employee benefit plan
Employee benefits, direct
Employee benefits, direct
Employee benefits, direct
Employee benefits, allocated
Employee benefits, allocated
Employee benefits, allocated
Equipment lease or rent
Insurance
Interest, long term debt
Interest, other
Inventory adj. & w/o
Assembly cost credit
Licenses and permits
Miscellaneous
Miscellaneous
Miscellaneous
Moving
Office supplies
Office supplies
Office supplies
Overhead allocated
Overhead allocated
Postage
Promotion and entertainment
Promotion and entertainment
Active
Active
Active
Active
Active
Active
Active
Active
Active
Active
Active
Active
Active
Active
Active
Active
Active
Active
Active
Active
Active
Active
Active
Active
Active
Active
Active
Active
Active
Active
Active
Active
Active
Active
Active
Active
Active
Active
Active
Active
Active
Active
Active
Active
Active
Active
Active
Active
Active
Active
Active
Active
Active
Active
Active
Active
Active
Active
Active
Active
I,DR,F
I,DR,F
I,DR,F
I,DR,F
I,DR,F
I,DR,F
I,DR,F
I,DR,F
I,DR,F
I,DR,F
I,DR,F
I,DR,F
I,DR,F
I,DR,F
I,DR,F
I,DR,F
I,DR,F
I,DR,F
I,DR,F
I,DR,F
I,DR,F
I,DR,F
I,DR,F
I,DR,F
I,DR,F
I,DR,F
I,DR,F
I,DR,F
I,DR,F
I,DR,F
I,DR,F
I,DR,F
I,DR,F
I,DR,F
I,DR,F
I,DR,F
I,DR,F
I,DR,F
I,DR,F
I,DR,F
I,DR,F
I,DR,F
I,DR,F
I,DR,F
I,DR,F
I,DR,F
I,DR,F
I,DR,F
I,DR,F
I,DR,F
I,DR,F
I,DR,F
I,DR,F
I,DR,F
I,DR,F
I,DR,F
I,DR,F
I,DR,F
I,DR,F
I,DR,F
Detail
Detail
Detail
Detail
Detail
Detail
Detail
Detail
Detail
Detail
Detail
Detail
Detail
Detail
Detail
Detail
Detail
Detail
Detail
Detail
Detail
Detail
Detail
Detail
Detail
Detail
Detail
Detail
Detail
Detail
Detail
Detail
Detail
Detail
Detail
Detail
Detail
Detail
Detail
Detail
Detail
Detail
Detail
Detail
Detail
Detail
Detail
Detail
Detail
Detail
Detail
Detail
Detail
Detail
Detail
Detail
Detail
Detail
Detail
Detail
REGION
ACCDIV
REGION
REGION
REGION
REGION
ACC
ACC
ACC
ACC
ACC
ACC
ACCDIV
ACCDIV
ACC
ACC
ACC
ACC
ACC
ACCDIV
ACCDIV
ACC
ACC
ACC
ACCDIV
ACCDIV
ACC
ACCDIV
ACCDIV
ACC
ACC
ACC
ACCDIV
ACCDIV
ACC
ACC
ACCDIV
ACCDIV
ACC
ACCDIV
ACCDIV
ACC
ACC
ACC
ACC
ACC
ACC
ACC
ACC
ACCDIV
ACCDIV
ACC
ACC
ACCDIV
ACCDIV
ACCDIV
ACCDIV
ACC
ACC
ACCDIV
Cntrl.
Acct.
Qty.
Units
User Guide
Auto
Alloc.
C17
Importing and
Exporting
Date:
Tuesday, October 16, 2001 3:09PM
Chart Of Accounts - Short Form (GLCHTA01)
Date:
Tuesday, October 16, 2001 3:09PM
Chart Of Accounts - Short Form (GLCHTA01)
Page 4
Account Number
Description
Status
Acct
Config.
Post
In
Structure
Code
6540-200
6550
6560
6580
6580-100
6580-200
6600
6620
6640
6660
6660-100
6660-200
6680
6680-100
6680-200
6700
6700-100
6700-200
6720
6720-100
6720-200
6725
6725-100
6725-200
6740
6740-100
6740-200
6760
8000
8000-100
8000-200
8100
8100-100
8100-200
9000
9100
9999
Active
Active
Active
Active
Active
Active
Active
Active
Active
Active
Active
Active
Active
Active
Active
Active
Active
Active
Active
Active
Active
Active
Active
Active
Active
Active
Active
Active
Active
Active
Active
Active
Active
Active
Active
Active
Active
I,DR,F
I,CR,F
I,DR,F
I,DR,F
I,DR,F
I,DR,F
I,DR,F
I,DR,F
I,DR,F
I,DR,F
I,DR,F
I,DR,F
I,DR,F
I,DR,F
I,DR,F
I,DR,F
I,DR,F
I,DR,F
I,DR,F
I,DR,F
I,DR,F
I,DR,F
I,DR,F
I,DR,F
I,DR,F
I,DR,F
I,DR,F
I,DR,F
I,CR,F
I,CR,F
I,CR,F
I,CR,F
I,DR,F
I,DR,F
I,DR,F
I,CR,F
I,DR,F
Detail
Detail
Detail
Detail
Detail
Detail
Detail
Detail
Detail
Detail
Detail
Detail
Detail
Detail
Detail
Detail
Detail
Detail
Detail
Detail
Detail
Detail
Detail
Detail
Detail
Detail
Detail
Detail
Detail
Detail
Detail
Detail
Detail
Detail
Detail
Detail
Detail
ACCDIV
ACC
ACC
ACC
ACCDIV
ACCDIV
ACC
ACC
ACC
ACC
ACCDIV
ACCDIV
ACC
ACCDIV
ACCDIV
ACC
ACCDIV
ACCDIV
ACC
ACCDIV
ACCDIV
ACC
ACCDIV
ACCDIV
ACC
ACCDIV
ACCDIV
ACC
ACC
ACCDIV
ACCDIV
ACC
ACCDIV
ACCDIV
ACC
ACC
ACC
C18
Cntrl.
Acct.
Qty.
Units
Auto
Alloc.
Appendix D
General Ledger Security
ACCPAC uses security groups to restrict user access to General
Ledger data and functions (for example, journal posting).
No access.
No access
Common Inquiry
Access
Access to G/L
functions and
Common Inquiry
User Guide
D1
General Ledger
Security
Group Security
Group Security
Access-restricted
functions
D2
Group Security
User Guide
D3
General Ledger
Security
Appendix E
Technical Information
Creating Macros ............................................................... E1
Running Visual Basic Macros in General Ledger............................... E1
Examples of Visual Basic Macros ............................................ E2
Multiuser Considerations ....................................................... E5
Global Locks ............................................................... E6
Single-User Processes ....................................................... E7
Multiuser Data Protection ................................................... E7
Technical
Information
User Guide
Ei
Appendix E
Technical Information
This section provides information for macro developers.
Note: You do not need to read Creating Macros to use General
Ledger and Financial Reporter.
Creating Macros
The easiest way to write a macro is to record one first,
performing the tasks that youll want the macro to perform, then
edit the macro, adding the special features you need.
User Guide
E1
Technical
Information
When you record the macro, set the Record Mode to Record All
Fields. By doing this, you can see the format for each field or
report parameter.
Creating Macros
2.
E2
Creating Macros
Select it.
2.
3.
4.
User Guide
E3
Technical
Information
Creating Macros
E4
Multiuser Considerations
Exit Sub
ACCPACErrorHandler:
Dim lCount As Long
Dim lIndex As Long
If Errors Is Nothing Then
MsgBox Err.Description
MsgBox "VBA Macros cannot run where Accpac is
deployed as a Web Server"
Else
lCount = Errors.Count
If lCount = 0 Then
MsgBox Err.Description
Else
For lIndex = 0 To lCount - 1
MsgBox Errors.Item(lIndex)
Next
Errors.Clear
End If
Resume Next
Technical
Information
End If
End Sub
Multiuser Considerations
Because ACCPAC has the capacity to run on local area networks,
there may be times when more than one user needs to use the
same General Ledger database.
ACCPAC has two basic rules for protecting data integrity when
workstations share the same data:
User Guide
E5
Multiuser Considerations
Global Locks
The following processes lock out all other users from General
Ledger until finished processing:
Options
ACCPAC Plus G/L Conversion
The following processes lock out all other users from the
company until finished processing:
New Year
Period End Maintenance
The one exception is the Options form, which allows you to save
changes to the following fields while other users are working in
General Ledger:
E6
Multiuser Considerations
You will not be able to save changes to any of the other options
in the Options form until all other users have left General Ledger
and all other General Ledger forms are closed.
Single-User Processes
If you run any one of the following processes, you will lock all
other users out of the group:
User Guide
E7
Technical
Information
Multiuser Considerations
updating the file. The second user will get an error message
when attempting to save, and will have to re-do their work in
that batch.
For a more detailed example of how audit stamping works, see
Multiuser Data Protection in Chapter 3 of the System Manager
Administrator Guide.
E8
Index
A
B
Balance sheet type accounts, 36
Batch List, 225
Show Posted And Deleted Batches
option, 417
Batch Listing, 422, 624
Batch Status report, 622
User Guide
Index1
Index
Account balances
reporting currency, 69
Account fiscal sets
exporting, C4
Account history
viewing summary, 320
viewing transactions, 322
Account mappings
exporting, C4
importing, C4
Account master
exporting, C3
importing, C3
Account Structure report, 630
Account Structures data entry form
GL-ACCS.PDF, B16
Accounts
active status, 35
adding, 32
allocation of balances, 36
budgets, 313
comparison, 324
correcting closing entries, 29
deleting, 33, 312
delimiter, 34
editing, 33, 311
entering adjusting entries, 29, 47
entering closing entries, 227, 47
inactive status, 35
maintaining, 32
multicurrency
revaluation, 39
setting up, 39
printing adjusting entries, 614, 626
printing closing entries, 210, 614, 626
Accounts (continued)
quantities, 35
retained earnings, 227, 54
structures, 34
type, 36
unrealized exchange gain account, 215
Accounts data entry form
(GL-ACC.PDF), B-12
Accounts form
subledger tab, 310
Adding
accounts, 32
batches, 417
journal entries, 413
journal entry details, 414
Adjustment
entries, 29, 614
period, 29
period, 47, 626
Allocation, 36
creating batches, 212, 510
processing batches, 213, 512
setting up automatic, 38
Auto reversal, 48, 51
posting to last period, 23
Batches
adding, 417
allocation, 212, 510
batch numbers, 45
clearing, 518
correcting errors, 211, 424
deleting, 413, 417
editing, 412, 417
entered, 22
from subledgers, 22
importing and exporting, 22, 218, 4-18
information posted with, 210
listing, 415
maximum number of, 45
number of entries, 28
other than journal entry, 212
permanent or provisional posting, 220
posting, 417, 422
posting unposted batches, 221
printing, 226, 417
recurring, 22, 216, 413
resetting batch number to zero, 56
retrieving, 22
retrieving from ACCPAC Plus for DOS,
217, 420
revaluation, 214, 512
reviewing, 417
sources, 22
Budget Maintenance data entry form
GL-BUDGT.PDF, B-13
Budgets
deleting, 319
editing, 316
maintaining, 313
C
Chart of accounts, 64
reviewing, 313
sample
using to create your chart of
accounts, C7
sample list of accounts, C14
See also: Accounts
Index2
D
Data
clearing, 517
Data entry forms for General Ledger, 44
Account Structures (GL-ACCS.PDF), B-8
Accounts, (GL-ACC.PDF), B-12
Budget Maintenance
(GL-BUDGT.PDF), B-13
Journal Entry - Multicurrency
(GL-JEMC.PDF), 4-4, 4-11, B-15
Journal Entry - Single Currency
(GL-JESC.PDF), 4-4, B-14
Journal Profiles (GL-JOURN.PDF), B-11
E
Editing
accounts, 33, 311
batches, 412, 417
budgets, 316
journal entries, 414
journal entry details, 415
Entering
accounts, 32
batches, 417
Entering (continued)
journal entries, 413
journal entry details, 414
Errors
correcting closing, 29, 47
correcting journal entry, 211, 424
error messages
looking up online, A1
overview, A1
Euro
conversion rate for Maastricht Treaty
member currencies, 412
converting source transactions during
journal entry, 412
converting to, 26
functional currency, 69
Exporting
account fiscal sets, C4
account mappings, C4
account master, C3
journal detail, C5
journal header, C5
revaluation codes, C6
sample data, C2
segment codes, C6
source codes, C6
source journal profiles, C6
structure codes, C7
Index
F
Financial reports, 641
Financial statements, 641
printing
previewing from Print Financial
Statements form, 642
options, 642
reformatting when printing, 642
Fiscal period. See Periods.s
closing, 55
Fiscal set
reporting currency, 619
User Guide
Index3
Fiscal sets
comparison, 324
deleting, 56
Fiscal year
create new year, 227, 51, 53
Forms, data entry See also: Data entry forms
GL-ACC.PDF (Accounts), B-12
GL-ACCS.PDF
(Account Structures), B-8
GL-BUDGT.PDF
(Budget Maintenance), B-13
GL-JEMC.PDF (Journal Entry Multicurrency), 4-4, 4-11, B-15
GL-JESC.PDF (Journal Entry - Single
Currency), 4-4, B-14
GL-JOURN.PDF (Journal Profiles), B-11
GL-OPTS.PDF (Options), B6
GL-RECJE.PDF
(Recurring Entries), B-16
GL-REVAL.PDF
(Revaluation Codes), B9
GL-SEG.PDF (Segment Codes), B16
GL-SETUP.PDF (Setup Checklist), B-7
GL-SRCE.PDF (Source Codes), B-10
list of, B2
Functional currency
Trial Balance, 69
Functional currency transactions
Source Journal Report, 619
G
G/L Options report, 637
G/L Transactions Listing, 425, 614
General Ledger
security, D1
General Ledger data entry forms
Accounts (GL-ACC.PDF), B-12
Account Structures
(GL-ACCS.PDF), B-8
Budget Maintenance
(GL-BUDGT.PDF), B-13
Journal Entry - Multicurrency
(GL-JEMC.PDF), 4-4, 4-11, B-15
Index4
H
Historical data
deleting, 56
viewing summary, 320
I
Importing
account mappings, C4
account master, C3
batches, 22
journal detail, C5
journal header, C5
revaluation codes, C6
segment codes, C6
source codes, C6
source journal profiles, C6
structure codes, C7
Income statement type accounts, 36
L
Last run date
updating for recurring entries, 220
Listing batches, 415
J
M
Index
Journal detail
exporting, C5
importing, C5
Journal Entry - Multicurrency data entry
form (GL-JEMC.PDF), 4-4, 4-11, B-15
Journal Entry - Single Currency data entry
form (GL-JESC.PDF), 4-4, B-14
Journal Profiles data entry form
(GL-JOURN.PDF), B-11
Journal entries
adjusting, 29, 47
auto reversal option, 23, 48, 51
closing, 29, 227, 47
comment, 411
deleting, 414
description, 49
editing, 414
entering, 410, 413, 414
Macros
running Visual Basic macros in
General Ledger, E1
sample, E2, E4
Manuals
how to use, 12
Messages, error
overview, A1
Monthly transactions
See: Recurring entries
Multicurrency accounting
choosing option, 36
entering journal entries, 411
from subledgers, 25
option, 32
processing, 25
User Guide
Index5
O
Online help
error messages, A1
Options
automatic allocation, 36
maintain quantities, 35
multicurrency, 32, 36
Show Posted And Deleted Batches, in
Batch List, 417
Options data entry form GL-OPTS.PDF, B-6
P
Passive concurrency, E6, E7
Periodic processing
Clear history, 517
Periodic transactions. See: Recurring entries
Periods
adjustment, 29, 47, 614, 626
closing, 29, 227, 47
closing and Posting Journal, 626
closing and Transactions Listing, 614
posting, 29, 47
Posting
allocation batches, 213
batches, 220, 221
batches and Post Batches window, 422
batches with errors, 211, 424
closing entries, 224
consolidated, 35
consolidating during posting, 222
Index6
Posting (continued)
defined, 23
force listing of batches option, 221
how to post batches, 417
overview, 220
period, 29, 47
Posting Journal, 223, 425, 626
provisional, 24, 221, 424
revaluation batches, 214
sequence number, 23, 424
to previous years, 224, 424
year, 46
Posting Journal, 223, 425, 626
clearing, 223, 518
Posting sequence number, 424
resetting to zero, 56
Previous-year data
posting to, 224, 424
Printing
batches, 417
data entry forms, B3
setting print destination, 62
Printing destination, 62
Printing transactions
functional currency, 615
reporting currency, 615
source and functional currencies, 615
Provisional posting, 24, 221, 424
available in Enterprise and Corporate
Editions, 416
Q
Quantities, 35
entering in journal entries, 410
R
Recurring entry batches, 216, 413
creating, 515
numbering, 2-20
Recurring entries
creating invoices, overview, 219
S
Sample chart of accounts
list of accounts, C14
using to create your chart of accounts,
C7
Security, General Ledger, D1
Segment Code report, 631
Segment codes
data entry form (GL-SEG.PDF), B16
exporting, C6
importing, C6
report, 6-31
Segments
closing income and expense
accounts to, 54
validation, 34
Setup Checklist for General Ledger
(GL-SETUP.PDF), B11
Show Posted And Deleted Batches
option, 4-17
Source
credit, journal entry, 410
debit, journal entry, 410
Source Code report, 633
Source codes
closing, 56
data entry form, B-10
exporting, C6
importing, C6
in imported batches, 218
in journal entries, 48
in subledger batches, 217
Source Codes data entry form
(GL-SRCE.PDF), B-10
Source currency
inquiry, 325
Source Journal, 426, 618
Source Journal Profile report, 635
Source journal profiles
exporting, C6
importing, C6
Source Journal Report
reporting currency, 619
User Guide
Index7
Index
Standard transactions
See: Recurring entries
Status
active or inactive, 35
Structure codes
exporting, C7
importing, C7
Structures, account
assign to account, 34
Subledger batches, 22
from ACCPAC, 217
importing, 218
multicurrency, 25
processing, 217
retrieving from ACCPAC Plus for
DOS, 217
Subledger tab
in the Accounts form, 310
Y
Year
posting, 46
Year end
adjusting entries, 29, 614, 626
adjustment period and entries, 47
closing entries, 47, 614, 626
closing period, 29, 224, 227
maintenance, 56
V
Visual Basic macros
running in General Ledger, E1
Index8