Difference between revisions of "webBooks-Accounting"

From Cliquesoft
Jump to: navigation, search
(?)
Line 7: Line 7:
  
 
===?===
 
===?===
This tab is found in each module as the way to access helpful documentation and, when clicked, will load this wiki page for the module.  Of course you can always go directly to our [http://wiki.cliquesoft.org/index.php?title=webBooks wiki] and read through the entire software documentation.
+
This tab is found in each module as the way to access helpful documentation and, when clicked, will load this wiki page for the module.  Of course, you can always go directly to our [http://wiki.cliquesoft.org/index.php?title=webBooks wiki] and read through the entire software documentation.
 
+
 
+
 
+
  
 
===Receivables===
 
===Receivables===

Revision as of 06:43, 24 November 2014

The vast majority of organizations will require the use of a module that will handle the accounting aspects of the business. Currently this extension allows interaction with the accounts receivables, accounts payable, general journal, general ledger, and the balance sheet.


Tabs

Each module will contain several tabs that help group the various types of associated information. Below we will cover the details of each one currently available in the latest release of the module.


?

This tab is found in each module as the way to access helpful documentation and, when clicked, will load this wiki page for the module. Of course, you can always go directly to our wiki and read through the entire software documentation.

Receivables

This tab contains all the account receivables for the organization which include all non-quotes from the 'Quotes And Invoices' module. It should be noted that this module will not break due to the absense of the 'Quotes And Invoices' module, however, this tab will be of no use to your employees.


The first thing you will see is the familiar group of buttons, '*', '+', '-', and 'Update' which will clear the form for new input, add a new record, delete a selected record, and update a selected record respectively. This particular tab has a few of these that are disabled, '+' and '-', because the records contained within the list are pulled from a particular module, not something that can be added or removed from this area of webBooks.


  • Account this listbox contains all the default and user-defined accounts that the selected entry from the below list belongs to. By selecting an entry from this list, you can assign the account that the invoice or lease is associated with. More often than not, this value should remain 'Receivables', but for flexibility the employee can attribute certain entries with a different account. It is important to note, however, that the values contained in this tabs' listbox will only be the 'Receivables' and all user-defined accounts since the other default accounts are not applicable here.


  • Invoice No a non-editable field, this value represents the invoice number of the selected entry from the list.


  • Invoice Amt another non-editable field, this textbox will contain the invoice amount.


  • PO Number as the name suggests, here you will find any Purchase Order (PO) number that is associated with the selected invoice.


  • PO Amount another easy to identify field, this one relates to the amount of the associated Purchase Order (PO).


  • Note this field will allow you to associate a note with the selected invoice.


The section to the right of the above fields contains the ability to enter all the payments for the selected invoice. It is broken down into several values that are explained below. It should also be noted that any amount of payments can be entered per selected invoice in order to satisfy the total owed. They can be all of the same or different types.


  • Received the date that the payment was received, not the day the deposit was made at the bank! See the 'Deposited' field below for additional information.


  • Type the selection with this listbox will specify the type of payment currently being entered. You should also notice that changing this value will also change the value to be entered in the 'Tag' field. For example, if the value here is 'card', then the 'Tag' would become the confirmation number of the credit card charge.


  • Amount the amount associated with the charge currently being entered.


  • Deposited since bank deposited funds are not always available the same day, this field allows you to specify when they have cleared and become available for use.


  • Tag this field contains a variety of values based on the 'type' value from above. To help make sure the employee knows what value is supposed to be entered here, the placeholder text will change dynamically as the 'type' is adjusted.


NOTE: After the above fields, there is a list so that multiple payments can be entered per invoice if necessary.



Payables

Similar to the 'Receivables' tab, this tab lists all the invoices from your debtors (e.g. vendors, service providers, etc). The page contains the same basic layout as the 'Receivables', but with a few additional fields. You may also notice at times there are entries that are entered in the list below that no employee has entered. That is because anyone that you have paired your webBooks with will automatically have their invoices sent electronically to you (and vice versa).


Again, you will notice the first several form object are the typical series of buttons, '*', '+', '-', and 'Update'. Unlike the 'Recievables' tab, all the buttons are available for use on this tab.


  • Account this listbox contains all the default and user-defined accounts that the selected entry from the below list belongs to. By selecting an entry from this list, you can assign the account that the invoice or lease is associated with. More often than not, this value should remain 'Payables', but for flexibility the employee can attribute certain entries with a different account. It is important to note, however, that the values contained in this tabs' listbox will only be the 'Payables' and all user-defined accounts since the other default accounts are not applicable here.


  • Invoice No this value represents the invoice number of the selected entry from the list.


  • Invoice Amt this textbox will contain the invoice amount.


  • Payment Terms the payment terms set forth by the originator of the invoice.


  • Due On the date which specifies the due date of the invoice.


  • Receipient the name of the debtor who sent the invoice. Entering a value and pressing 'Enter' will bring up a results list so you can find the correct account to assign the bill.


  • Note this field will allow you to associate a note with the selected invoice.


Also like the 'Receivables' tab, this one is broken into two section so that you can enter a single or multiple types of payments to fulfill the invoice amount. Some of these fields are different than the ones used on the 'Receivables' tab, so they will be covered below:


  • Created this is the date in which your payment to the debtor was created. See the 'Cleared' value below for additional information.


  • Type the selection with this listbox will specify the type of payment currently being entered. You should also notice that changing this value will also change the value to be entered in the 'Tag' field. For example, if the value here is 'card', then the 'Tag' would become the confirmation number of the credit card charge.


  • Amount the amount associated with the charge currently being entered.


  • Cleared since bank deposited funds are not always available the same day, this field allows you to specify when they have cleared and been removed from your bank account.


  • Tag this field contains a variety of values based on the 'type' value from above. To help make sure the employee knows what value is supposed to be entered here, the placeholder text will change dynamically as the 'type' is adjusted.


NOTE: After the above fields, there is a list so that multiple payments can be entered per invoice if necessary.



Journal

The 'Journal' tab is used to add entries that are associated with the selected account. There are two accounts that are not permitted in this area, Receivables and Payables, since those are handled independently on their respective tabs.


  • Account this listbox contains most of the default and all of the user-defined accounts setup from the 'Ledger' tab. By selecting an entry from this list, you can assign the account that the journal entry is associated with.


  • Date the value here defines the date that the journal entry occurred.


  • Description as the name suggests, this is a small description of the journal entry.


  • Reference another variable value entry, you can enter any reference information associated with the journal entry. This can be things like check numbers, credit card approval numbers, and more.


  • Amount this is the amount of the journal transaction. The values here can be negative or positive indicating a debit or credit respectively.


  • Note this field will allow you to associate a note with the selected (or new) ledger entry.



Ledger

This tab is used to create any user-defined accounts that will get added to all the 'Account' listboxes throughout this module. The information selected in the header when creating a new account will be used on the 'Balance' tab to create the proper layout for the organizations accountants.


  • Payoff Date the date associated with the payoff of the account. Because all accounts don't have a payoff date (e.g. bank account as opposed to a car loan account), this value is optional when adding new accounts to the list.


  • Description the short description of the account.


  • Account No the account number associated with the ledger account.


  • Account Type this field is also used by the 'Balance' tab and identifies where the account belongs within that table.


  • Note this field will allow you to associate a note with the selected (or new) ledger account.



Balance

This tab is a non-editable tab. It is configured based on the information from all the other tabs and is used to make sure that all your accounting balances properly. This can also be used to quickly see the balances in the various accounts that were setup for your organization.



Buttons

This module currently does not have any buttons mentioned in this section.