Using NEOSYS Finance System: Difference between revisions
No edit summary |
No edit summary |
||
Line 32: | Line 32: | ||
[[Entering Multi-period journal batches]] | [[Entering Multi-period journal batches]] | ||
[[Understanding the term ACCOUNT and its various statements]] | |||
---- | ---- | ||
[[Notes]] | [[Notes]] |
Revision as of 09:52, 10 April 2008
Preventing posting in prior years and periods
Consolidating reports between databases
Performing Essential Maintenance of NEOSYS Finance Module
Manual control of payee on payment vouchers
Specifying when Financial Year starts
Entering Opening Balances & Items
Working of Inter Currency Conversion
Recording PDC payments in NEOSYS
Handling Exchange Losses & Gains in NEOSYS
Avoiding Invoice and Credit Note combinations appearing on Client A/c Statements
Understanding the difference between Ledger A/c printout and Statement printout
Presenting Trial Balances and Financial Statements in a non-base currency
Showing subsidiary charts in the main trial balance
Understanding VAT/Sales Tax in the NEOSYS finance module
Entering Multi-period journal batches
Understanding the term ACCOUNT and its various statements