Accountant's Assistant Handbook



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0Accountant's Assistant Handbook

CBS CheckWriter 
License Files 
Checkbooks  
Security 
Chart of accounts 
CheckWriter miscellaneous information 
CBS PayCheck 
Payroll Items (see notes below) 
Employee Templates (see notes below) 
Security 
PayCheck miscellaneous information 
CBS Accounts Payable 
Security 
A/P miscellaneous information 
CBS Accounts Receivable 
Security 
A/R miscellaneous information 
CBS Financial Statements 
Security 
Chart of accounts 
Financial Statement information 
CheckWriter miscellaneous information 
(fiscal year end) and GL account for 
unprinted checks 
 


 
Client Setup in Accountant’s Assistant 
Accountant’s Assistant Handbook 
89 
 
Notes 
ƒ  For CBS CheckWriter clients, Accountant’s Assistant transfers 
vendor data to CBS based on options specified on the 
CheckWriter tab of the Setup / Miscellaneous Information 
dialog.  
ƒ  Accountant’s Assistant automatically generates custom lists for 
ZIP codes, cities, and state and local entities. 
ƒ  After the initial setup, you may occasionally need to transfer 
selective information to update the client’s files. Accountant’s 
Assistant will always generate the following items: 
ƒ  State and local custom lists 
ƒ  Employee templates 
ƒ  Payroll items 
ƒ  Chart of Accounts (if generating financial statement data) 
ƒ  CheckWriter Miscellaneous information (if generating 
financial statement data) 


Client Setup in Accountant’s Assistant 
 
90 
Accountant’s Assistant Handbook 
Other than those items, only the items you select to include will 
be affected; all of the client’s other CBS data remain unchanged. 
ƒ  If you generate the transfer file to a floppy disk, you should label 
the disk “accountant’s transfer file” and include the date and the 
client’s ID. Note that the process of creating a transfer file to 
update the client’s CBS configuration is identical to the process 
of creating the accountant’s transfer file for the initial setup. 
3. Click 
the 
Generate button. 
4.  When you select License Files in the Generate Client Information 
dialog, Accountant’s Assistant will prompt you to select the licensee. 
The list includes all clients for whom you have purchased a Client 
Bookkeeping Solution license, your own firm license, and a 
demonstration company license.  
For the purposes of this handbook, highlight Demonstration 

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