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***
*** Section: Legal Information
***
YOU ARE ENCOURAGED TO MAKE A BACKUP COPY OF THE PRETIUM SOFTWARE
FOR YOUR OWN USE. THE SOFTWARE IS PROTECTED BY SOFTWARE COPYRIGHT
LAWS AND IT IS ILLEGAL TO MAKE COPIES OF THE SOFTWARE EXCEPT FOR
BACKUPS. IT IS ILLEGAL TO GIVE COPIES TO ANOTHER PERSON, OR TO
DUPLICATE THE SOFTWARE BY ANY MEANS, INCLUDING ELECTRONIC
TRANSMISSION, EXCEPT FOR PERSONAL BACKUP PURPOSES. YOU MAY NOT
MODIFY, ADAPT, TRANSLATE, RENT, LEAST, OR CREATE DERIVATIVE WORKS
BASED UPON THE SOFTWARE OR ANY PART THEREOF.
Quicken is a registered trademark of Intuit.
***
*** Section: Pretium
***
PRETIUM
Personal Finances Software
by David Orr
Copyright (C) 1997 IDD
***
*** Section: Table of Contents
***
"Legal Information"
Getting Started
"Introduction"
The Basics
"Opening an Existing Accounts Group"
"Creating an Accounts Group"
"Creating a New Account"
"Working with an Accounts Group"
"Working with an Account"
"Account Transactions"
Advanced Features
"Check Printing"
"Using Categories"
"Using the Payee Database"
"Generating Reports"
"Importing/Exporting QIF Files"
Your Finances
"Reconciling Your Accounts"
"Tracking Credit Cards"
Appendices
"A. Using Pretium Requesters"
"B. Using List Windows"
"C. Program Settings"
"D. Pull-down Menus Reference"
"E. Troubleshooting"
-
- Contacting IDD
-
E-mail: idd@pobox.com
Phone: (352) 373-9471
Fax: (407) 331-3175
Mail: IDD, 204 NW 25th Street, Gainesville, FL 32607
***
*** Section: Introduction
***
Welcome to Pretium! Pretium is a quality personal finances
software package designed for the Amiga. It is as simple to use
as writing in your checkbook, but advanced enough to take
advantage of the power of your Amiga.
-
- Why should I use Pretium?
-
Pretium is essentially a computerized checkbook, so in the same
way you enter transactions in your paper checkbook register, you
can record them with your computer. You get several very
important benefits from computerizing your finances including:
- Your computer calculates your account balances so that as
long as you enter the correct numbers, your account balance is
correct.
- You can use categories to classify your finances and
monitor exactly how much of your money is going where.
- With a couple mouse clicks you can bring up a report
detailing or summarizing your finances.
- Reconciling your checkbook is as easy as double-clicking
transactions to mark a transaction as cleared.
- Only using a paper register means that if that register is
lost or stolen, your financial transaction records are gone
forever; but with computerized records you can make backups and
print multiple copies for safe storage.
- You can print checks, which makes bill paying easier for
your home finances, and more professional in appearance for your
business finances.
-
- How Pretium Works
-
To record a transaction (such as a deposit or withdrawal from your
checking account), simply enter the information the same way you
would record the transaction in your checkbook. Pretium keeps
track of the balance for you. If you want a clearer picture of
where your money is going, you can have it print a report at the
click of a button.
It also handles more than just checking accounts. You can use
Pretium for keeping track of credit card charges and payments,
savings accounts, petty cash funds, cash transactions, and more.
In fact, you can work with many separate accounts on-screen at one
time.
-
- Requirements
-
Pretium requires AmigaDOS version 2.04 or better. It is hard
drive installable, but may be run from a single floppy. A printer
is optional but recommended.
***
*** Section: Opening an Existing Accounts Group
***
-
- The Accounts Group Concept
-
Accounts are stored in together in Account Groups. You will
probably never need more than one accounts group. All accounts in
an accounts group are located in one directory, and they share the
same categories and other information. Your accounts group might
include a savings account, a checking account, and an account for
each of your credit cards.
-
- Opening a Group
-
To open an accounts group, select Open Group... from the
Project pull-down menu. This will bring up a list box window
that shows you a list of all accounts groups found in the current
directory path. (What it actually displays is all subdirectories
of the current directory with names starting with "AcntGrp." but
without the "AcntGrp." part of the name.) The current path is
shown at the top of the window. The default path is the directory
you last used to load an accounts group, or the directory from
which the Pretium program was loaded. To change the path, use the
Change Path... button. This will bring up a file path
requester.
When using Change Path... you must select the directory path
to where the "AcntGrp." subdirectories are found, but do not
actually choose an "AcntGrp." directory with the path requester.
Instead to the path where the "AcntGrp." directories are displayed
in the requester's file list, and hit OK to return to the
accounts groups window to select an accounts group.
To open an accounts group in the list first click on it to select
it, then click the Open button at the bottom of the window.
Or you can simply double-click on an account to open it. Whenever
you open an accounts group, Pretium will also open any accounts
that where open at the time the accounts group was last saved.
You can open the included "SampleGroup" accounts group to see a
sample set of Pretium accounts.
-
- Group Name in the Command Line
-
When you run Pretium from a CLI shell, you may specify an accounts
group to open by entering pretium followed by the name of the
accounts group. The group must be located in the directory from
which Pretium is loaded.
***
*** Section: Creating an Accounts Group
***
To create a new accounts group, select New Group... from the
Project menu. This opens a requester that allows you to enter
a name for the group, as well as the path to where the accounts
group subdirectory will be located, and an optional password.
Path shows the location where this directory will be created
(the default is the directory from which the Pretium program was
loaded). To change the path, click Change Path... and a path
requester will open.
If you enter a password in the Password field, you will be
required to enter it again whenever you open the accounts group.
Leave the password field blank for no password.
TIP: Write down your password! If you forget the password and you
can't get back into your accounts, you can contact IDD for
assistance.
Standard commonly used categories can automatically be added to
the category list for use with accounts in the group. Choose
Add Standard Home Categories to add categories that are used
for home finances, or Add Standard Business Categories for
small business categories. You may choose neither, one of the
two, or both sets of categories. Once the accounts group is
created, you will be able to add your own categories and delete
categories you don't want. For more information about categories,
see the section "Using Categories".
When you hit OK, a directory with the name you entered will be
created to hold the accounts. You will see an accounts group
window open and you will be ready to create the first account for
this accounts group. To close the accounts group, you can just
click the standard close-window gadget in the upper left corner of
the window.
IMPORTANT: You must always close the accounts group! If you
reset or turn off the computer without closing the current
accounts group, vital data may be lost.
-
- The Accounts Group Window
-
When you create a new accounts group, you will see a window titled
"Accounts Group:" followed by the name of your group. This window
is always open whenever the accounts group is open. Closing this
window will close the entire accounts group, including all open
accounts in the group.
The accounts group window is where you will add, rename, and
remove accounts from the group. Any accounts you have created in
the group will be listed in this window.
The accounts group window is an example of a Pretium list window.
For more information about using list windows in Pretium,
see the section "Using List Windows". For more information
specifically about using the accounts group window,
see the section "Working with an Accounts Group".
***
*** Section: Creating a New Account
***
To create a new account, go to the Accounts Group list window of
the accounts group you have opened, and hit tab or click on the
text gadget at the bottom. (You should see Add a New Account,
but if it says Modify Account you need to click the Reset
button first.) Now enter a name for the new account and hit
enter.
When you add a new account, a requester window will ask for the
type of account you wish to create (standard, checking, or
credit). The following are descriptions of the three types:
- Standard: Use for savings accounts, petty cash, and
any other type of account that allows you to deposit and
withdrawal money. If you want to use a check number or other
identifying number for transactions, use a Checking account
instead.
- Checking: This works just like a Standard account,
but it has a field for a check number in each column. The check
number field may be used for a special transaction number or any
other code.
- Credit: This type of account works like a Standard
account, but it assumes the balance will usually be negative, so
it displays positive balances in red (instead of displaying
negative balances in red). This is because in a credit or loan
type of account, you usually have a negative balance that you
eventually pay off until the balance is zero.
Below the account types is a field for a memo, which may be
anything you would like. The memo is included on all account
reports you generate. You can always change the memo later if you
wish.
Starting Check Number is the starting check number that will
be used for Checking type accounts.
Opening Balance amount will determine how much money the
account will have for the first "Opening Balance" transaction
which is automatically added if the opening balance you enter is
not zero. See "Using Pretium with Your Current Bank Accounts"
below.
You can also choose to set a password with the Set Password...
button. If you set a password, you will be asked to enter it
again whenever you open the account.
After you hit CREATE the account window will open.
-
- Using Pretium with Your Current Bank Accounts
-
In an ideal situation, you would be starting to use Pretium at the
same time as you open all brand new accounts with your bank. This
would mean your starting balance is zero and there are no past
transactions that won't be recorded in your Pretium accounts.
More than likely this isn't the situation, and you are starting to
use Pretium with bank accounts you have already been using for a
while with some other method of recording your transactions. If
you previously used some other financial software, it may support
QIF files, which would allow you to transfer the old transactions
to Pretium (see the section "Importing/Exporting QIF Files").
If you want to start using Pretium with an already-open bank
account, the best method to keep an accurate cleared and uncleared
balance when you first start is to follow these steps:
- Look at your last bank statement and find the last ending
balance. Enter this amount as the Opening Balance for the
Pretium account.
- Look at your register records and enter all new
transactions that were not accounted for in your last bank
statement into your Pretium account. Be sure to include any
transactions that had not yet been processed by the bank as of
your last statement (such as outstanding checks). You are now
ready to use Pretium.
***
*** Section: Working with an Accounts Group
***
-
- The Accounts Group Window
-
After you have added an account, the name of the account will
appear in the box on the accounts group window. If you add more
accounts, they too will be listed in the box in the accounts group
window. You can select an account simply by clicking on its name.
When an account is selected it will be highlighted white in the
list and its name will appear in the text gadget at the bottom of
the window. You can rename an account simply by modifying its
name in the text gadget and hitting enter. You can also delete an
account by hitting Remove while the account is selected. A
requester will allow you to verify your intentions before an
account is actually renamed or deleted.
In the accounts group window, double-clicking an account will open
that account. If the account is already open, its window will be
moved to the front.
The close-window gadget at the upper left corner of the accounts
group window can be used to close the entire group of accounts.
This is identical to selecting Close Group from the
Project pull-down menu. Closing the group will close any open
accounts. If an account has been modified, it will ask if you
want to save any changes before the account is closed.
IMPORTANT: You must always close the accounts group. If you
reset or turn off the computer without closing the current
accounts group, vital information may be lost.
***
*** Section: Working with an Account
***
-
- Account Windows
-
The account register windows are where you will likely spend most
of your time when working with Pretium. They are used to enter
and display all of the transactions you make in your accounts.
The account window is always open when the account is open.
If you are using a screen mode with at least 16 colors, Pretium
will display standard accounts in green, checking accounts in
blue, and credit accounts in peach. The title of each account
register window also says what type of account it is, followed by
the name of the account.
The close window gadget on the upper left corner will close the
account. If you have made any changes to the account, you will be
asked if you want to save changes before closing the account.
-
- Entering Transactions
-
Account registers are list box windows, and function very
similarly to the accounts group window and all other list box
windows in Pretium (see the section "Using Pretium Requesters") There
are several different fields where you may enter information in a
similar format to writing in a paper checkbook register
(see the section "Account Transactions"). The names of the fields
are shown at the top of the account window. You can click on any
one of the fields to enter text in it. You may also use the TAB
key to move to the next field, or SHIFT-TAB to move to the
previous field.
Transactions are sorted by date by default. To change the order
in which transactions are displayed, select an option from the
Order Transactions by... item under the [This Account]
pull-down menu. Changing the sort order is only temporary. Once
you close the account, the sorting order returns to sorted by
date.
When you hit enter while editing a transaction, the transaction
will be added to the account and displayed in the list box. Note
that after the transaction is added, the cursor returns to the
first text gadget. This makes it easy for you to add many
transactions in a row, one right after another.
-
- Marking Transactions as Cleared
-
Transactions in any type of account can be marked cleared by
double-clicking the transaction. A cleared transaction will have
a small check mark in the box between the two money fields of the
transaction. The cleared option is usually used to indicate that
a transaction has been processed by your bank. For more
information see the section "Reconciling Your Accounts".
-
- Balances
-
Below the list box you will see Cleared: and Total:.
These always show the current balance of all accounts in the
register. The Cleared amount shows only the balance of
transactions that have been marked with the cleared check mark.
Total is the total balance of all transactions in the account.
There is also a running balance on the right side of each
transaction. The balance shown here is the balance of the account
for all transactions up to and including the current transaction.
In bank and cash accounts negative balances are shown in red,
while positive balances are black. This is reversed in credit
accounts where negative balances are the norm and are therefore
shown in black, while positive balances are shown in red.
-
- The Bottom Border Buttons
-
The three buttons on the bottom border of the window perform
actions on the currently selected transaction. The function of
the buttons is as follows:
- Print Used for printing the transaction, usually for
the purpose of printing checks. See the section "Check Printing".
- Void Used to mark the transaction as void. When a
transaction is voided, Pretium adds "VOIDED:" to the description
and clears the amount of the transaction.
- Payee To search for a matching record in the Payee
Database. See the section "Using the Payee Database".
***
*** Section: Account Transactions
***
Each transaction is made up of several different fields, which are
arranged to be similar to a checkbook register.
The upper left field is the date, with the year directly below it.
The year can be any year from 1901 to 2099. When you add a new
transaction the date is automatically set to today's date.
If the account is a bank account, the next field on the top is the
check number. The check number may be a number, or any text up to
five characters long.
The Description field is the name you give to the transaction.
For checks and payments, this should be the payee's name as it
appears on the check. Wildcards ("*", "?", or "#?") can be used
in the description to copy over information from a previous
transaction.
The "?" wildcard will match any character. For example, "AB?D"
could match "ABCD," "ABDD," etc. The "*" will match any number of
characters. For example, "AB*D" would match "ABD," "ABCD,"
"AB123D," etc. The AmigaDOS style ("#?") wildcards can also be
used.
If you enter a wildcard in the description, then when you tab to
the next field, the other transactions in the account will be
searched for a previous transaction with a description matching
the pattern. If a match is found, the pattern you entered will be
replaced with the matching description, and the previous
transaction's category and amount will be copied over (unless a
category or amount has already been entered for the current
transaction). This allows you to easily enter a new transaction
with the same information as a previous one.
The next two fields are where you enter the amount of the
transaction. Normally, only one of these fields is used at a time
in a transaction. The first is where you enter the amount if it
is taking money from the account, and the second is for adding
money to the account. In checking and standard accounts these
fields are named Withdrawal and Deposit. And in credit
accounts they are Charge and Credit. If you enter a value
in both amount fields in a transaction, Pretium will subtract the
values in find the net amount.
TIP: Don't use a dollar sign or other symbols other than a cents
separator when entering money values with Pretium.
The Category field is used by Pretium to help classify and
organize your finances. Categories will be explained in detail in
another section (see the section "Using Categories"). If you add a
transaction with a category that does not yet exist, Pretium will
ask if you want to add the category to the categories list.
Categories are optional; the category field of transactions may be
left blank.
You may use "*" and "?" wildcards when you want to add a
transaction with the same category. These allow you to enter only
part of a category name, and Pretium will find the first category
in the categories list that matches your pattern. The pattern you
enter will be replaced with the category name after you hit enter
to add the transaction.
The Memo field allows you to enter any text you would like to
add to the transaction. This is a good place to record any
details or information about the transaction.
***
*** Section: Check Printing
***
-
- Why use printed checks?
-
There are two main advantages to printing checks with your
computer and printer instead of handwriting them:
- Printing checks save time, especially if you are going to
be entering your transactions with Pretium anyway, or if you write
a fairly large number of checks.
- Computer printed checks are much more professional looking
than hand written checks if you need to present a good impression
for yourself or your business.
-
- Ordering Your Checks
-
You can order checks from Deluxe Business Forms by calling 1-
800-328-0304. For the fastest service and a 10% discount, always
remember to give them the priority service code T07167.
Pretium can work with virtually any type of check form sold by
Deluxe, including laser, ink jet, and continuous (dot-matrix)
check forms.
-
- Not Just for Checks
-
Note that you can use the Print command to print any type of
transaction from any type of account. This means that instead of
using the Print feature for printing checks, you may choose to
instead use if for printing receipts or anything else. Simply
follow the same instructions for printing checks, but set up the
positions of the fields to best suit the format you want to use.
-
- Setting up Pretium to Work with Your Check Forms
-
To set up Pretium for your particular check form, Pretium allows
you to specify the exact position for each field of the check (the
amount, payee, etc.). You will need to adjust the settings and
try printing sample checks until everything lines up the way it
should. This may take a few tries.
To set your check settings, choose Program Settings... from
the Project pull-down menu, and click the top cycle button
until you reach the Check Printing Settings page.
The check mark buttons down the left side select which items will
be printed. If the item is not selected, it will not be printed.
For each item there is an X: and a Y: value. The X:
value is the line where the item will be printed (starting with 1
at the top and counting down). The Y: value is the column
position where the item will be printed (starting with 1 for the
first character position).
The Width: values for Amount and Amount Text let you
also specify how many characters wide to make the item. When
printing a check, spaces where there are no characters in the
amount areas will be filled with "*"'s to make the check more
tamper-proof.
Total Lines: is the total number of lines for the height of
the check. This ensures proper spacing between checks when
printing multiple checks in a row.
TIP: Remember to check the check mark box next to all items you
want to be printed.
-
- Printing Checks
-
To print a check:
- Select the transaction you want to print by clicking on it
in the account window.
- Click the Print button at the bottom of the window and
the check should begin to print.
- Don't forget to sign the check after it is printed.
***
*** Section: Using Categories
***
The Category of transactions is something that you would not
normally include in paper checkbook register, but it gives Pretium
the power to better organize and evaluate your finances. Example
categories you might use for home finances include salary, food,
clothing, gas, and rent. If you use Pretium for business
accounts, your categories might include commissions, sales,
freight, office supplies, and labor costs. You can also create
subcategories of your main categories for better organization.
All accounts in an accounts group share the same categories. The
list window with a list of all categories can be opened by
selecting Categories from the View pull-down menu.
-
- Adding New Categories
-
New categories can be added by entering a category that does not
yet exist when adding a transaction. New categories can also be
added directly at the categories window.
When you enter a new category, a requester will open for some
additional information about the category. At the top left corner
of the requester are buttons that allow you to choose either
expense or income as the type of category. Choose Expense for
categories that generally deduct money from your accounts, such as
food, utilities, and mortgage payments. Income categories are
for sources that add money to your accounts, such as salary,
bonuses, and gifts.
The type of category you choose is important because it will
control how Pretium calculates the balance associated with the
category. The balance is the net total of all transactions using
the category. If you choose Expense transaction amounts that
deduct money from your account are added to the category's
balance, while transactions that add money to your account are
subtracted. Conversely, with an Income type category,
transaction amounts that add money from your account are added to
the category's balance, while transactions that deduct money to
your account are subtracted.
The next gadgets in the requester will only appear if there are
already other categories in the list. They allow you to choose
Category or Subcategory. Subcategories can be grouped
under a category to show a relationship so you can better organize
your finances. If you choose the Subcategory button, the box
to the right of the buttons will list all of the other categories.
Choose the one that you want this category to be a subcategory
under by clicking on it. Note that subcategories can not have
their own subcategories.
TIP: When entering a transaction in an account where the category
you want to use for the transaction is a subcategory, simply enter
the subcategory's name.
The next gadget is labeled Memo. This allows you to enter a
short description or other information that you would like to
associate with the category.
The Balance line shows the current balance of all transactions
using this category. The default beginning balance is zero, but
you may set any beginning balance you want. You may also change
the balance at any time after the category is created. The
balance is updated automatically whenever you add or modify a
transaction.
After you choose OK, the new category will appear in the list.
-
- The Categories Window
-
Categories are listed in the categories list window in
alphabetical order, with subcategories listed in order under their
parent categories. Subcategories are indented to distinguish them
from regular categories. Next to each category is its type
(Income or Expense) and the current balance of all
transactions using the category. The balance is updated
automatically whenever you add or modify a transaction. If a
transaction uses a subcategory as its category, the amount of the
transaction is added to the balance of the subcategory and the
subcategory's parent.
To rename a category, select the category and edit the name and
hit enter. To edit the category's specifications, select the
category and hit the Info... button. Or you can just double-
click on a category.
***
*** Section: Using the Payee Database
***
The Payee Database is an address and phone number database. There
is one Payee Database in per each accounts groups. Records in the
payee database can be associated with transactions in your
accounts so that you can use it to record information about the
payee or payer for the transaction. Of course, you can also use
the Payee Database for recording information about companies or
people even if they are not associated with your finances.
The Payee Database window can be opened by selecting Payee
Database from the View pull-down menu
-
- Database Fields
-
- Name The name of the company or individual. Note that
records in the database will be sorted by the name. If you want
the records sorted by last name, you may want to enter names in
for with the last name first ("last name, first name").
- Key The key field can be used to associate a database
record with the Description or Category fields in
transactions. The Key may contain wildcards ("*", "?", or
"#?"). See the sections below for more information about
associating records with transactions.
- Address Up to three lines can be used for entering the
address.
- Phone A phone number can be entered here.
- Notes Two additional lines are provided to allow you
to enter any other information you wish to record.
-
- Finding an Associated Record
-
Records in the Payee Database can be associated with transactions
in your accounts. You can find the database record associated
with a transaction in an account by following these steps:
- Select a transaction in one of your accounts by clicking
on it so it is highlighted.
- Click the Payee button on the bottom of the account's
window.
- If a matching record in the Payee Database can be found,
Pretium will select it in the Payee Database window.
-
- Associating Records with Transactions
-
The relationship between transactions and Payee Database records
is based on finding which database record best relates to the
transaction. There isn't a specific link between each transaction
and each database record. Instead, Pretium uses the Key and
Name fields of the records to search for the best match. It
first looks for a match between the transaction's Description
or Category and the database record's Key, and if a match
isn't found it then checks for a match with the database record's
Name field.
A summary of the steps Pretium uses when looking for a matching
database record are detailed below. It first tries the first
relationship, and if it does not find a match it then tries the
second, etc.
Pretium looks for a match between:
- First the Description of the transaction and the
database Key.
- The then Category of the transaction and the database
Key.
- Then the Description of the transaction and the
database Name.
- And finally the Category of the transaction and the
database Name.
If no match is found in any of the above steps, Pretium will tell
you that it couldn't find a matching record for the transaction.
***
*** Section: Generating Reports
***
Reports can be generated based on a single account, multiple
accounts in an accounts group, or by categories.
-
- Generating an Account Report
-
To generate a report for a single account, click the little page
icon in the upper right corner of the account's window (the icon
is located just below the standard window depth gadget). Or, you
can also select the account window, then choose Generate a
Report... from the [This Account] pull-down menu.
-
- Generating a Report for a Group of Accounts
-
To generate a report based on multiple accounts, choose the report
icon on the Accounts Group menu, or use the Account Group window's
pull-down menu. Reports created from the accounts group window
will be based on only accounts that are currently open.
-
- Generating a Categories Report
-
To generate a categories report, choose the report icon on the
Categories window, or use the category window's pull-down menu.
Reports created for categories will only contain transaction
information from accounts that are currently open.
To create a report based on a particular category, first select
the category then choose the generate a report command. When you
choose to create a report based on a specific category, you will
notice that the category's name appears in the Category field
in the report options requester.
To create a report based on all of the categories, choose the
generate a report command while no category is currently selected
in the categories list (click the Reset button).
-
- Report Configuration Options
-
- Report Title Title placed at the top of the report.
- Detailed or Summary Report Detailed reports include
each individual transaction, while summary reports are just
overviews of the account or category. When you choose to make a
summary report, all of the other options in this requester are not
used.
- Sort Transactions By Transactions listed in the report
can be sorted by date, amount, or category. If the transactions
are sorted by category, the total balance is also calculated for
each category. Category sorting is not an option in category
reports because category reports are already sorted by category.
-
- "Include Transactions Matching..."
-
- From Date/To Date Specify date range for
transactions in the report. Dates can be entered with month, day,
and 2-digit year. If you do not enter a year (month and day
only), the year is assumed to be the current year.
- Cleared/Uncleared Use this to include only cleared
transactions, uncleared transactions, or both cleared and
uncleared.
- Category Here you can enter a category to match
transactions with a specific category. Wildcards ("*", "?", or
"#?") can be used to match multiple categories. If you are
generating a category report from the categories list window, and
a category was selected, the category's name will appear here
(which limits the report to that specific category).
-
- "Include transactions Information..."
-
Here you can select which fields to include in the transactions
listed in the report.
***
*** Section: Importing/Exporting QIF Files
***
The Quicken Interchange Format (QIF) is a text-based file format
that is used as a common standard by several financial software
programs. Data can be transferred between Quicken for Macintosh
and Windows, Pretium, and other finances software packages that
have the QIF importing/exporting feature. Some banks that use
online banking allow you to download your transactions history in
QIF format. QIF files can also be used to copy transactions from
one account to another, even in a different accounts group or
between different types of accounts.
To export the data from an account in Pretium to a QIF file, first
select the window of the account. Then go to the [This
Account] pull-down menu and select Export... under the
QIF sub-menu. A file requester will open that will allow you
to choose the location and filename of the QIF file. When you
choose OK, every transaction in the account will be saved to
the QIF file.
To import transactions from a QIF file into an existing account,
first select the window of the account (or create a new account if
you prefer). Then go to the [This Account] pull-down menu and
select Import... under the QIF sub-menu. A file requester
will open that will allow you to choose the QIF file to import.
When you choose OK, the transactions from the QIF file will be
added to the account. If a category in the QIF file is not in
your account group's categories list, you will be asked if you
want to add it.
***
*** Section: Reconciling Your Accounts
***
One of the key reasons for recording your financial transactions
in the first place is so that you can verify your bank statement
to find any discrepancies. The total of all cleared transactions
should match the balance shown on your bank statement. If the
balances don't match, it may just mean that you forgot to record a
transaction, or it could mean that your bank made a mistake or you
have been a victim of forgery or embezzlement. Pretium makes the
task of reconciling your accounts faster and easier than paper
checkbook registers because it calculates the running balance
automatically.
-
- Reconciling Your Accounts
-
Pretium lets you distinguish between transactions that have and
have not cleared the bank. To clear a transaction, double-click
the transaction and a check mark will mark the transaction as
cleared. Double-click it again to unclear the transaction. The
net total of all transactions that are marked as cleared is
displayed at the bottom of the account window next to
Cleared:. There is also a Mark All Transactions menu item
under the [This Account] pull-down menu that allows you to
mark all transactions in the account as cleared or uncleared.
When you receive a bank statement follow these steps to reconcile
the account in Pretium:
- Record any new service charges or interest earned for the
account as new transactions, and mark these transactions as
cleared.
- For each transaction listed on your bank statement, find
the transaction in the Pretium account and mark the transaction as
cleared. If you can't find the transaction, you may have
forgotten to record it and you should do so now (unless you
suspect the bank statement is incorrect).
- Check to see that the Cleared balance shown at the
bottom of the account matches the ending balance shown on your
bank statement. If the balances match, your account is correctly
reconciled. If they do not, see below.
TIP: To make finding uncleared transactions easier, select
Cleared for the Order by... setting under the [This
Account] pull-down menu. This will display all uncleared
transactions at the bottom of the list.
-
- What if the balances do not match?
-
If, after following the above steps to reconcile your account, the
Cleared balance shown at the bottom of the account doesn't
match the ending balance shown on your bank statement, the problem
probably lies in one of the following:
- You made a mistake marking the transactions as cleared.
Make sure the cleared transactions are marked cleared and no
uncleared transactions are marked cleared.
- The Pretium account is missing one or more transactions.
Double check to make sure all cleared transactions appear in the
account.
- You or the bank recorded a transaction incorrectly. Check
the amounts of the transactions, and make sure you recorded
deposits in the Deposits column and withdrawals in the Withdrawals
column.
- You might have been the victim of forgery or embezzlement
by a third party if a transaction you cannot account for shows up
on your statement. Contact your bank.
TIP: A quick fix for correcting a balance in a Pretium account is
to use the Balance Adjust... command under the [This
Account] pull-down menu. It will add a "Balance Adjustment"
transaction with an amount that will properly adjust the balance
to an amount you specify.
***
*** Section: Tracking Credit Cards
***
Most people don't record every credit card purchase in a register
the way they do with bank accounts. One major reason for this is
that credit card statements tell you not only the amount of each
transaction, but also where the purchase was made. This makes it
easier to look over a credit card statement to see if any unusual
charges were made, which could indicate an error or fraud. Also,
with a bank account, most people have to be more diligent about
keeping an eye on the balance to avoid bouncing a check. Whereas
with a credit card, the balance usually approaches the limit less
often, and if it does the transaction is immediately refused so
there is no check to bounce.
-
- What are the benefits of tracking credit card transactions?
-
There are some good reasons for recording each credit card
transaction in a Pretium credit card account. One important
benefit is that you can monitor your credit card balance on a day
to day basis and limit your spending accordingly. Another
advantage is that you can track where your money is going by using
categories in the credit card transactions. Otherwise the credit
card payment is only recorded as one lump withdrawal from your
bank account, and you can't track individual expenses.
One other more subtle reason for recording credit card
transactions is that the act of recording each and every credit
card purchase will make you more aware of your credit card
spending, which can be important if you are someone who is prone
to spending too much with credit cards. Studies have shown that
people tend to spend more with credit cards than they would with
cash, but recording each transaction may help to give you a better
sense of how much you can really afford to spend when you look at
the balance adding up with each purchase.
-
- Using a Credit Card Account Just for Monthly Total Balances
-
Even if you decide not to record every credit card transaction,
you may still want to use a credit card account in Pretium for
keeping track of the monthly balances. If you don't pay the full
balance each month, you can record the interest charges as
separate from the purchases total so that you can keep track of
how much you pay in interest over time. Looking at reports
generated from the credit card account can also give you a
perspective on how your overall credit card spending has varied
over time.
-
- Using a Credit Card Account in Pretium
-
When creating a new account, you can choose Credit as the type
of account (See the section "Creating a New Account". This is
the best choice for credit card accounts. The key difference
between this type of account and the others is that negative
running balances are shown in black and positive running balances
are shown in red. This is because the usual condition for credit
cards is to have a zero or negative balance. Conventional credit
card accounts rarely have a positive balance. You enter
transactions in credit card accounts in exactly the same way as
any other account.
If you are going to be recording every credit card transaction,
you can save your transaction slips when you charge a purchase and
record them throughout the month. You could also wait until you
receive your monthly statement and enter the transactions from the
statement. This is easier if want to record each transaction but
you don't need to know your balance throughout the month.
When it comes time to pay a credit card bill, you most likely will
make the payment from another account, such as with a check from a
checking account. The best way to record this transaction in
Pretium is as a funds transfer from the bank account to the credit
card account. To use the funds transfer command, select
Transfer Funds... under the [This Account] menu.
***
*** Section: Using Requesters
***
Requesters in Pretium usually have an OK and a Cancel
button at the bottom of the requester. You will notice that in
most of the requesters, the OK button appears raised and the
Cancel button appears recessed (pushed in). This indicates
that if you hit enter, the raised button will be selected, or if
you hit the escape key, the recessed button will be selected.
This allows you to use the keyboard instead of the mouse when it's
more convenient.
- Raised OK Buttons -- the ENTER key is equivalent to
clicking it.
- Recessed Cancel Buttons -- the ESCAPE key is
equivalent to clicking it.
TIP: The escape and enter keys will not function in this way while
a string gadget is selected. You can hit enter to de-select the
current string gadget, and then you can hit enter again or escape.
***
*** Section: Using List Windows
***
The accounts list windows, the accounts group window, and the
categories window are all examples of Pretium list windows. They
all use the same consistent interface. The general layout of the
window is a large list box, with a text gadget and several button
gadgets below it.
-
- Adding an Item
-
Adding an item refers to adding a new item to the list, such as
adding a transaction in an account window, or adding a whole new
account if you are in the accounts group list window. To add an
item, follow these steps:
- Make sure that the current mode for the window is "Add,"
it will say for example "Add a New Transaction." If it says
"Modify," you have selected an item in the list and you should
click Reset to return to add mode.
- Click on a text field or hit the tab key to place the
cursor in a text field.
- Enter your text. If there is more than one text field,
you can use the tab key to move to the next field.
- When you are done entering the information, hit the return
key to add the item to the list.
-
- Modifying an Item
-
Follow these steps to modify an item in a list window:
- Click once on an item in the list to select it. When an
item is selected it will appear highlighted in white and the
information for the item will appear in the text fields at the
bottom of the window.
- Click on a text field or hit the tab key to place the
cursor in a text field.
- Make any changes you want to make to the item. If there
is more than one text field, you can use the tab key to move to
the next field.
- When you are done entering the information, hit the return
key to record the changes you have made to the item.
-
- Keyboard and Mouse Controls for List Windows
-
- Hitting tab while the list window is activated but no text
gadget is selected will put the cursor in the first text gadget so
you can begin entering data.
- Use tab to move to the next text gadget (if there is one),
and shift-tab to move to the previous one.
- Hitting the return key while a list window text gadgets is
activated tells Pretium that you want to submit the data you
entered (adds a new item or modifies an item depending on the
current mode).
- If there are more items in the list than can be displayed
at one time, you can scroll through the list using the scroll
buttons on the right side of the list box or the up and down
cursor keys. Note that the cursor keys only work for scrolling if
you are not currently editing text in a text field.
- To select an item in the list box, click on it once. The
item will appear highlighted and you can edit it by typing in data
in the text gadgets at the bottom of the window.
- Double-clicking on an item will have different results
depending on what type of window you are in. Double-clicking
while in the Accounts List window will open an account, while
double-clicking on a transaction in an account window will clear
or unclear the transaction.
This list window gadgets work with the currently selected item (or
new item):
- Reset clears the text gadgets and de-selects any
selected list items.
- Remove will delete the current item from the list
(assuming you have selected an item). Depending on what type of
window you are in, it may ask you if you are sure you want to
delete it.
- There may also be Open or Info... buttons which
will open the selected item (such as an account from the accounts
group window), or display more information about the item.
***
*** Section: Program Settings
***
The Program Settings... function is available under the
Project menu. The same program settings are global to all of
your accounts groups.
-
- The Settings File
-
The settings are saved in a file named pretium.prefs which is
stored in your computer's ENVARC: path. To restore Pretium's
default settings, you can delete the pretium.prefs file before
running Pretium. When you do run Pretium, a new pretium.prefs
will be created.
-
- Settings Options Reference
-
When you choose Program Settings... under the Project menu
you will see the Program Settings window. The cycle button at the
top of the window pages through the different pages of program
settings. Each page is detailed below.
General Settings
- Automatically open last used group on startup? If
selected, Pretium will automatically open the last previously used
accounts group whenever you load Pretium.
- Automatically open last used accounts of groups? If
selected, whenever you open an accounts group, Pretium will
automatically open any accounts that were open the last time you
used the group.
- Report Printing Width Page width (in characters) to
use for generating reports. The minimum width is 35 characters.
The default is based on Amiga printer preferences.
- Smart Refresh Windows/Simple Refresh Windows
Selects window refresh mode. Simple refresh uses less memory but
is a little slower. Smart refresh uses more memory but is a
little faster. Changes to the window refresh mode will only
affect windows that are opened after you change the mode.
- Screen mode settings... This button will bring up the
screen mode requester. A high resolution screen with at least 16
colors is recommended. If you choose a screen mode that for any
reason makes the program unusable, you may need to delete the
Pretium settings file to reset the settings to the defaults. See
"The Settings File" above.
Date Settings
- Month-first date format/Day-first date format
This lets you choose the proper date format used in your area.
- Date Separator Symbol This lets you choose your
preferred character to use for separating parts of a date (such as
"10/11" or "10-11").
Money Settings
- Currency Symbol Here you can enter up to two
characters that will be used to represent the currency symbol when
displaying money amounts.
- Place currency symbol before/after amount Choose the
proper format for your area.
- Thousands Separator Symbol Choose the proper character
for your area to use for separating groups of thousands in money
amounts.
- Cents Separator Symbol Choose the proper character for
your area to use for separating the cents part of money amounts.
Check Printing Settings
This page is used to format the printing of checks
(See the section "Check Printing"). The check mark buttons down
the left side select which items will be printed. If the item is
not selected, it will not be printed. For each item there is an
X: and a Y: value. The X: value is the line where the
item will be printed (starting with 1 at the top and counting
down). The Y: value is the column position where the item
will be printed (starting with 1 for the first character
position).
The Width: values for Amount and Amount Text let you
also specify how many characters wide to make the item. When
printing a check, spaces where there are no characters in the
amount areas will be filled with "*"'s to make the check more
tamper-proof.
Total Lines: is the total number of lines for the height of
the check. This ensures proper spacing between checks when
printing multiple checks in a row.
TIP: Remember to check the check mark box next to all items you
will be using.
Transaction Settings
- Verify before deleting transactions? Choose whether or
not you want to be notified with an "Are you sure" requester when
you choose to delete a transaction in an account.
- Automatically fill-in next check number? Choose
whether or not you want the next check number to be automatically
filled in when entering a new transaction.
***
*** Section: Pull-down Menus Reference
***
If you see "Pretium Screen" on the title bar at the top of the
screen it means that no Pretium windows are currently active, and
you need to click anywhere on the Pretium screen to activate a
window before you can use Pretium's pull-down menus.
-
- Project
-
This menu has all of the standard Amiga project menu kinds of
functions.
- New Group... Create a new accounts group.
- Open Group... Open an existing accounts group.
- Close Group Close the current accounts group.
- Save All Modified Accounts Save changes in any
accounts in the current accounts group that have been modified.
- Save All Modified and Close Group Save changes in any
accounts in the current accounts group that have been modified,
and close the accounts group.
- Save All Modified and Quit Save changes in any
accounts in the current accounts group that have been modified,
close the accounts group, and exit the program. This is the best
way to quickly exit the program when you are done working with
your accounts.
- Program Settings... Program preferences.
See the section "Program Settings Reference".
- About... About the program and the author.
- Quit Exit the program.
-
- View
-
The View menu is used to display various windows. An accounts
group must be open to use these functions.
- Accounts Group List Moves the Accounts Group List
window in front of all other windows.
- Categories Open or move to front the Categories List
window. See the section "Using Categories".
- Payee Database Open or move to front the Payee
Database window. See the section "Using the Payee Database".
-
- Window-Specific Menus
-
A third menu will appear only when certain windows are selected,
and the menu's functions apply only to that particular window
(such as a specific account). The name of the menu will be in
brackets, such as [This Account].
[This Accounts Group]
- Change Password... Change or set the password for this
group.
- Open All Accounts Open all accounts in this group.
- Close All Accounts Close all opened accounts.
- Generate a Report... Create a report based on all
opened accounts in the group. See the section "Generating Reports".
[This Account]
- Info/Password... View or modify settings and
information for the account.
- Save Save the account.
- Close Close the account. The program will ask if you
want to save the account if any new changes have been made.
- Save & Close Save the account if changes were made and
close it.
- QIF Import or Export Quicken Interchange Format files.
See the section "Importing/Exporting QIF Files".
- Generate a Report... Create a report based on the
transactions in the account. See the section "Generating Reports".
- Transfer Funds... Transfer money from this account to
another account.
- Balance Adjust... Add a balance adjustment transaction
to adjust the cleared or total balance to a new amount.
- Mark All Transactions Mark all transactions in the
account as cleared or not cleared.
- Order Transactions By Change the sorting order that
transactions in the account are displayed.
[Categories]
- Close Window Close the categories list window.
- Generate a Report... Generate a report based on a
category or all categories based on all currently open accounts.
See the section "Generating Reports".
[Payee Database]
- Close Window Close the payee database window.
***
*** Section: Troubleshooting
***
We hope that you won't have any problems using Pretium, but if you
do please first try to find an answer to your problem in this
user's guide. If you still need help, you can contact IDD through
one of the methods below. IDD also welcomes comments and
suggestions.
E-mail: idd@pobox.com
Phone: (352) 373-9471
Fax: (407) 331-3175
Mail: IDD, 204 NW 25th Street, Gainesville, FL 32607
Note: If you get a "Program Error" or "Program Warning" message
you will notice a small code at the bottom of the requester in
brackets ("[a562]" for example). If you send us a message about
an error or warning, please include the special code in your
message so that we will know where in the program the problem
occurred.