Using NEOSYS Finance System: Difference between revisions

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[[Working of Inter Currency Conversion]]
[[Working of Inter Currency Conversion]]


[[Processing Postdates Cheques in NEOSYS]]
[[Processing Postdated Cheques in NEOSYS]]


[[Handling Exchange Losses & Gains in NEOSYS]]
[[Handling Exchange Losses & Gains in NEOSYS]]

Revision as of 12:25, 27 February 2012

Importing Accounts and Addresses

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

Chart of Accounts

Specifying when Financial Year starts

How to "Open New Year"

Entering Opening Balances & Items

Working of Inter Currency Conversion

Processing Postdated Cheques 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

Revaluing closing balances

Entering Multi-period journal batches

Understanding the term ACCOUNT and its various statements

Closing an account with multiple currencies

Handling receipts in one currency to pay off invoices in another currency

Handling supplier invoices which are less then the accrual due to currency gains

Handling intercurrency allocation

Handling obsolete/unused accounts

Moving accounts between ledgers

Explaining what the intercurrency conversion account is

Printing Cheques

Setting up multi company installations / Setting up a new company

Posting receipts and payments to bank accounts in non base currencies

Stopping recurring journals before their term is over

Designing a multi-financial year P&L Financial Statement

Printing PDC cheque



Notes