Software Highlights
Click.
Click. All monthly reports with two mouse clicks!
•
Trial Balance report for reconciling to general ledger
Supports any general
ledger chart of accounts
Record listing in date order with depreciation
calculations
Subtotals for cost, monthly expense,
accumulated and book value
Subtotals provided for each:
General ledger expense account including branch, department, other centers
General ledger accumulated account
Report totals
View and print:
Records and subtotals
Subtotals only
• Journal Voucher debit and credit column
posting source document
Posting transactions can be:
General ledger subtotals or
Individual records
Transactions can be created:
For current or a previous month
More than once
As reversal entries (undo)
• General ledger posting file
Transactions can be formatted
for any general ledger system
Upload the file to your general ledger
Paste contents to a spreadsheet or elsewhere
• No close out required.
Discover an error afterward?
Merely fix and rerun. |
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History
- Automatic data and report archiving
| Save
time when you need it the most!
Out of balance at end of month?
• Run the 'What's Changed' report.
See what changes
have occurred since last month.
• Isolate additions, deletions, modifications.
• Retrieve by/for each or a single general
ledger account.
Automatically created History archive files.
• No more searching for old reports.
• Recall any report
for any month.
• View and print.
• Export - copy an entire report to
a worksheet.
• History allows you to go paperless.
All text changes plus monetary adjustments are maintained in activity
logs.
History tracks any changes made in Excel import
files, too!
Lifetime depreciation schedules - past and projected - along with critical
memo Notes.
Recall monthly general ledger expense and offset
account postings.
History allows for reports to span multiple months.
Copy 12 month fiscal year recap to a worksheet,
email to your auditor. |
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About
your existing records
Getting
started ....
Three ways to address your existing records:
1) Enter them directly into the software
using the Editing screen.
Afterward, enter new records using the same screen.
2) Import Excel and other worksheet conversion
data.
Continue importing new records, too.
3) Short on time?
Send us a file and we'll convert your records.
Prior calculations:
Preserve current Book Value and Accumulated.
Or the software can recalculate everything
in a consistent manner from the original date.
Import - How our clients use this feature:
1) Most converted their spreadsheet records
and now utilize the Editing screen.
2) Some maintain all records in a spreadsheet
and always import their entire file.
3) Other clients converted, now use the
Editing screen but also import new records:
Files
created at branch sites.
Sent
from their Accounts Payable (A/P) department.
Export, too.
Copy any report and paste to a worksheet.
Includes
Book Value, Accumulated, Remaining Term
Other calculated
values "as of" any month.
Copy all records.
Use report filters to selectively choose
and generate desired subtotals. |
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Features
not found in many other systems
Easy
to use set up screen with field entry documentation
Plus, import data from Excel and other spreadsheets
System generated ID number or assign your own
Terms of 1 through 999 months
Maintain up to 99,999 records
"How" the record will depreciate is displayed
as data is entered
Description, date, amount
and term are the only items needed
Default values create new records quickly
and consistently
Copy (dupe) an existing record - only change values that differ
( very handy when setting up renewals )
Copy a single field value from all existing values
Notes
• Maintain important and other information
about a record
• View, print and even include Notes
on a report
• Retrieve old Notes from a prior month
History file
Calculation Methods at the record level (defaults
to your preference):
Straight line method
Sum of the years digits,
Rule of 78's for any term
Actual date to date
(partial first and last months)
View and copy depreciation expense for future
months, fiscal or calendar year
Send all or selected
results to Excel
User defined codes can be used for Vendor, Type
and other reporting
Link records to aggregate
by common purpose, such as a computer network
Tables for meaningful subtotal descriptions,
such as Vendor names
FASB, AICPA and GAAP compliant |
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Applicable
for these records and more
• Fixed Assets
• Leasehold Improvements
• Buildings
• FF&E
Furniture
Fixtures &
Equipment
• Vehicles and
Accessories
• Other tangible
property requiring book depreciation
• With or without salvage value
• Maintain
Depreciating
records
Fully depreciated
records
Disposed records
with disposal date, gain/loss on sale
Expensed records
for tracking purposes |
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Exception
handling
Do
you ever have to ....
Increase or decrease the amount being depreciates?
The Adjustment Screen automatically handles
additional payments and refunds.
Add a record that should have been added last
month?
Prior month expense
for a record can be included with the current month.
Add a record that shouldn't begin depreciating
right away?
An alternate begin date defers doing so to
a future "in service" month.
Change a term? Write off immediately?
The Adjustment screen automatically handles
these, too.
Allocate expense to several branches or departments?
The Allocation module
distributes expense using one or more methods.
Are you ever out of balance?
The History Audit Report
shows monthly changes to each general ledger account. |
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Reporting
Features
Full
set of accounting and managerial reports:
- Trial Balance
Subtotals and report totals for count and amount
- Journal Voucher
Undo. Reverse a previously created debit/credit upload posting file
- New records report
For the prior month, year to date or other time period
- Maturity/Review date
report (tickler file)
Which records will finish their term this month, next month or other time
period
- Type report by user
defined codes
- Vendor report by user
defined codes
- Tag number report
- Location report. Records
sorted by Tag number within physical location
- Record link report
(aggregate records by a common purpose)
- Alpha list of records
in Description order
- Description files
to provide meaningful information at report subtotal levels:
• General ledger chart of account names
• Type codes
• Vendor codes
• Location codes
• Record link codes
• Enter descriptions into the software or copy/paste from another source.
- Apply filters, date
selections and set calculation month, range of months and year end periods
- Export reports
Copy and paste any report to a spreadsheet
Copy column headings, records, calculated values and subtotals
User defined reports:
- MySubtotals report.
Filter and group by selected fields on the fly.
- MyReports. Create
and retain your own commonly used reports.
- View, print, export
these reports, too. |
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On
Demand Reports
Calculate
depreciation results:
As of any month or year
end period
For a range of future
months
For a historical month,
range of months, entire fiscal year
Include:
All records
Selected records
Select records using filters available for all fields and values
Sort and create subtotals on desired field values
Examples:
Report all records that
will have a zero book value as of December 31st.
Report all new records
for the previous quarter with cost > $1,000.00.
Report all records in
three expense accounts, send report to Excel. |
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Converting
your records (or import, below)
Even
if you inherited a junker file, your existing records can be converted
to the software.
Retain current accumulated
and book value or
Recalculate accumulated
and book value from day one
Unique data conversion values can be incorporated,
too.
Be up and running with a solid system today! |
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Excel
import
The software comes with complete record handling
capabilities:
Add, edit, delete records.
List, sort, export and
more.
Nothing else is required
to manage your data records.
Additionally, the software can import data from
Excel and other spreadsheet files.
Importing allows you to add records from another
source to the software.
Import dozens, hundreds,
even thousands of records.
Import once as a conversion
and/or
Import on an ongoing
basis.
Always import your entire worksheet or
Add new records from a file that was created at another source.
The software verifies
data values are of a correct format and lists any conflicts or errors.
And automatically calculates
a maturity/review/tickler file reporting date.
Current accumulated
and book value for existing records can be preserved or calculated by the
system.
Importing a file is easy:
1) Copy an entire
worksheet or highlight and select desired rows.
2) Click the Paste
icon on the software's Import screen.
That's all it takes!
An Import Table maintains
worksheet Column Letter cell values.
Example: "Description" might be your worksheet column "A" or "C"
or ....
An option switch allows you to replace all existing records or add (append)
new records.
The "Copy from" source
can be an Excel worksheet, other spreadsheet program or any tab-delimited
file. |
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Allocate
monthly depreciation
| Generally,
monthly depreciation is posted directly to a general ledger expense account.
If need be, the software can create posting transactions
for a single record to multiple:
Branch, department,
RC, cost center accounts.
Allocate using one or more Methods defined by
you, such as:
- Same percentage to
each cost center (evenly).
- A specific fixed percentage.
- Varying percentage,
based on:
Workstation count, employee count, department square feet, revenue stream,
asset dollars, more.
- Which centers are
to participate in an allocation Method.
- Virtually any number
of different Methods for any purpose that can be expressed numerically.
Allocating is easy:
- Merely substitute
the cost center portion of a general ledger account number with a Method.
Cost center identifiers can be of any length.
They can be located at the beginning, middle or end of an account number.
- A Method can even
be shared among records having different base account numbers.
Audit trail:
The system creates a
report showing how each amount was allocated. |
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History
and File Archiving
Never
lose a report again:
• Automatic record
and report archiving for retrieval at a future date
• Review all changes
made (old value, new value) to a record during its entire term
• View and print reports for any prior
month and year.
Send reports to Excel. Email requested information to your CPA/auditor.
Span fiscal year - display general ledger annual expense for each month.
• Go Electronic!
Monthly history files allow you to print reports only when necessary. |
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Partial
list of clients using one or more of our software products....
Bank
of New York
Honeywell
NBC Universal
SafeAmerica CU
Canon USA
Medcenter One, Inc.
Arrowhead
xpient Solutions
Integrated Production
Penncro Associates
Legacy Texas Insurance
NBRS Financial
Credit Factor Corp
RAF Technology
Roanoke County
Cracker Barrel |
Houghton
Mifflin
Air Force Federal
First Tennessee
Metavante
Iowa HSAA
Baptist Health System
Carolina Alliance
United Community
Mecca, Inc
Safra National
MemberSource
US Global
Cloister Wash & Lube
Damariscotta B&T
Integrity
Hostelling International |
First
Horizon
ViDeOnline Inc.
Tioga County
Ektettab
Carthage Area Hospital
National Council
Equity Plus
Pullman Memorial
Franklin Savings
D&A Mortgage Funds
West Georgia Health
Axxya Systems
Midland Community
First American
Electro Savings
Omni Capital |
Alliance
Imaging
Crescent Bank
EUP Property Investment
West Point Underwriters
OST
Progressive Gaming
Holy Spirit Hospital
TELUS
Thomson Financial
Clark Nuber, PA
McCombs Enterprises
WESLA FCU
Seaway National
Mindworks, LTD
Cross County
Atlantis Marine World |
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