Differences
This shows you the differences between two versions of the page.
Both sides previous revision Previous revision Next revision | Previous revision | ||
cats:procedures:accounting:transactions:generaljournalentries [2015/09/10 17:09] – [Printing and Posting General Journal Entries] amanda | cats:procedures:accounting:transactions:generaljournalentries [2019/07/02 16:23] (current) – jen | ||
---|---|---|---|
Line 1: | Line 1: | ||
=====Entering General Journal Entries===== | =====Entering General Journal Entries===== | ||
+ | {{entry> | ||
General Journal entries are transactions that directly debit and credit the general ledger, using only G/L numbers. They do not use a bank code, account code, or invoice. They are frequently used for corrections to profit and loss (P&L) calculations that need to be booked to an inventory adjustment account. | General Journal entries are transactions that directly debit and credit the general ledger, using only G/L numbers. They do not use a bank code, account code, or invoice. They are frequently used for corrections to profit and loss (P&L) calculations that need to be booked to an inventory adjustment account. | ||
CATS uses double-entry bookkeeping. This means that all entries, including invoices, have a debit to one G/L number and a credit to another G/L number. You will need to ensure that the lance of all general journal entries works out to $0.00. | CATS uses double-entry bookkeeping. This means that all entries, including invoices, have a debit to one G/L number and a credit to another G/L number. You will need to ensure that the lance of all general journal entries works out to $0.00. | ||
+ | ====Quick Guide Steps==== | ||
+ | 1. From the main (**File**) menu, select **Accounting > Data Entry > General Jr.**\\ | ||
+ | 2. Select **Add** from the pending general journal entries scan menu.\\ | ||
+ | 3. Choose the Scan Method, where you can add multiple line items at once, or see below for a description of the G/L number method.\\ | ||
+ | 4. Fill in each line entry, G/L number then amount, until the items balance and the Proof Amount is 0.00. CATS will show you a running tally in the upper right corner whenever you click on a line.\\ | ||
+ | 5. When you have finished with this transaction, | ||
+ | 6. You will return to the pending general journal transactions scan, where you can view and change or post pending items.\\ | ||
+ | 7. Once done with entry, pick **Print > One Transaction** (or **Select Range** to print more than one entry).\\ | ||
+ | 8. From the pending transactions scan, pick **Post > One Transaction.** Select **Yes** to confirm.\\ | ||
+ | |||
+ | ====Adding A New Journal Entry==== | ||
To add a new entry, pick **Accounting > Data Entry > General Jr** from the main menu. | To add a new entry, pick **Accounting > Data Entry > General Jr** from the main menu. | ||
[{{: | [{{: | ||
Line 62: | Line 74: | ||
Here is a general journal entry printed to **HTML > Open in Browser**. You can review the changes that will occur to each G/L account in the summary area on the bottom of the printout. | Here is a general journal entry printed to **HTML > Open in Browser**. You can review the changes that will occur to each G/L account in the summary area on the bottom of the printout. | ||
- | [{{{{: | + | [{{: |
To print only general journal entries you have entered, select **All by XX** (your user name). < | To print only general journal entries you have entered, select **All by XX** (your user name). < | ||
Line 85: | Line 97: | ||
You will see the confirmation dialogue shown earlier; choose **Yes** to continue with posting. | You will see the confirmation dialogue shown earlier; choose **Yes** to continue with posting. | ||
- | [[{{: | + | [{{: |
After posting, the pending general journal entries scan will no longer show the transaction you posted. Select **Ledger Scan** from the toolbar menu to view the transaction you just posted. | After posting, the pending general journal entries scan will no longer show the transaction you posted. Select **Ledger Scan** from the toolbar menu to view the transaction you just posted. |