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ProfitPress Mega CDROM2 …eeware (MSDOS)(1992)(Eng)
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ProfitPress-MegaCDROM2.B6I
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BUSINESS
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ZBMONO32.ZIP
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ZCHK.HLP
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Encoding:
Amiga
Atari
Commodore
DOS
FM Towns/JPY
Macintosh
Macintosh JP
Macintosh to JP
NeXTSTEP
RISC OS/Acorn
Shift JIS
UTF-8
Wrap
Clarion Help
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1990-08-10
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56.0 KB
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1,347 lines
EACCTYPEE
RACCTYPER
HHELPNDX
TTABHLP
MMAINHLP
ACCOUNT NUMBERS - HELP
This scrolling lookup table will show you the possible
numbers to choose from. Place the selector on the
account you want and press the ENTER key to have the
account copied into the proceeding form. Or follow the
instructions at the bottom of the screen to add, edit
or delete account number.
EXPENSE ACCOUNTS
RECEIPT ACCOUNTS
HELP INDEX
TABLE HELP
MAIN HELP
EACCTYPEE
RACCTYPER
HHELPNDX
TTABHLP
MMAINHLP
ACCOUNT NUMBERS - HELP
This scrolling lookup table will show you the possible
numbers to choose from. Since the locator on the table
that called this table only can locate on ACCOUNT NUMBER
and not account description this list is presented to
find what account number is associated with what account
description. You have to type the account number into
the LOCATOR to have the locator find the expenses for
the account.
EXPENSE ACCOUNTS
RECEIPT ACCOUNTS
HELP INDEX
TABLE HELP
MAIN HELP
MSYSOV10
FFORMHLP
HHELPNDX
MMAINHLP
UPDATE ACCOUNT NUMBER - HELP
This form is to record account numbers. Depending on
the how you got to this screen you will be prompted for
either a BILL, RECEIPT or LOAN account number.
FORM HELP
HELP INDEX
MAIN HELP MENU
MSYSOVR13
STABHLP
HHELPNDX
MMAINHLP
ACCOUNT NUMBER TYPES - HELP
Scrolling table of all account number types. Depending on
how you got here you will see information fro BILLS, RECEIPT
or LOAN types. You cannot change these TYPES.
SCROLLING TABLE HELP
HELP INDEX
MAIN HELP
MSYSOVR10
STABHLP
HHELPNDX
MMAINHLP
ACCOUNT NUMBER TYPES - HELP
Scrolling table of all account number types. Depending on
how you got here you will see information for BILLS, RECEIPT
or LOAN types.
SCROLLING TABLE HELP
HELP INDEX
MAIN HELP
MSYSOVR13
STABHLP
HHELPNDX
MMAINHLP
ACCOUNT NUMBER TYPES - HELP
Scrolling table of all account number types. Depending on
how you got here you will see information fro BILLS, RECEIPT
or LOAN types.
SCROLLING TABLE HELP
HELP INDEX
MAIN HELP
MSYSOVR3
STABHLP #
HHELPNDX 1
MMAINHLP
ALL BILLS - HELP
Scrolling table of all bills both posted and open. Open
bills can be edited, Posted bills cannot. To edit a
posted bill the Check that paid the bill must be VOIDED
from the Bank Account.
MORE
SCROLLING TABLE HELP
HELP INDEX
MAIN HELP
MSYSOVR4
STABHLP #
HHELPNDX 1
MMAINHLP
ALL RECEIPTS - HELP
Scrolling table of all receipts both posted and open. Open
receipts can be edited, Posted receipts cannot. To edit a
posted receipt the DEPOSIT TICKET the receipt was
deposited on must be VOIDED from the Bank Account.
MORE
SCROLLING TABLE HELP
HELP INDEX
MAIN HELP
MSYSOVR7
MMENUHLP
HHELPNDX
MMAINHLP
BALANCE BANK BOOK MENU - HELP
This menu will take you through the steps to balance your
bank account. Enter the bank account name, and the
statement date on the bank statement you received from the
bank. Then go through each of the menu choices to balance
your account.
TRANSACTIONS NEVER SHOWN ON STATEMENT - Shows all
"uncleared" deposits and checks. From here mark
all the checks and deposits that show on the
statement you received from the bank. Then
process them.
SHOW STATEMENT - Shows bank statement as far as the
this program knows. Compare it to the bank
bank statement from the bank. If not the same
look for missing or different items.
MENU HELP
HELP INDEX
MAIN HELP MENU
MSYSOVR21
STABHLP
HHELPNDX
MMAINHLP
BALANCE SHEET - HELP
Scrolling table of all assets and liabilities. The
balance is your NET WORTH.
MORE
SCROLLING TABLE HELP
HELP INDEX
MAIN HELP
MSYSOVR17
HHELPNDX
TTABHLP
MMAINHLP
BANKS LOOKUP - HELP
This scrolling lookup table will show you a list of
all your BANK ACCOUNTS. Place the selector on the bank
you want and press the ENTER key. The bank name will be
inserted into the field that called this lookup table.
NOTE: If charges have been made to a bank account it
cannot be changed.
HELP INDEX
TABLE HELP
MAIN HELP
MSYSOVR7
STABHLP
HHELPNDX
MMAINHLP
BANK STATEMENT - HELP
Scrolling table of all transaction for this bank account
during the statement period. All values and transactions
should match the statement you received from the bank.
If they do not match look for missing or different items
and make corrections until they match.
To view a transaction place selector bar on the
transaction and press the ENTER key to view details about
the transaction.
MORE
SCROLLING TABLE HELP
HELP INDEX
MAIN HELP
MSYSOVR17
STABHLP
HHELPNDX
MMAINHLP
BANK TRANSACTIONS - HELP
Scrolling table of all transaction for a bank account.
This is basically a check book, but could also be a credit
card or savings account.
You can view the bills paid by a check, or receipts
making up a deposit by placing the selector bar on a
transaction a pressing the ENTER key.
LOCATOR in the upper right corner searches for the date.
The date must be entered in full '07/03/90' for it to
work, even though the date only shows as '07/03'.
VOIDING of checks and deposits can only be done from here.
The '*' under the column headed by the '
' means the
transaction has been reported on by the bank on a
bank statement (your check has cleared).
MORE
SCROLLING TABLE HELP
HELP INDEX
MAIN HELP
MSYSOVR18
HHELPNDX
TTABHLP +
MMAINHLP
BANKS TYPE - HELP
This scrolling lookup table will show you a list of
BANK TYPES. Place the selector on the bank type
you want and press the ENTER key. The bank type will be
inserted into the field that called this lookup table.
HELP INDEX
TABLE HELP
MAIN HELP
MSYSOVR3
FFORMHLP
HHELPNDX +
MMAINHLP
BILL RECORD - HELP
This form is to record bills, and the account number to
charge the expense to. If bills has been posted no
editing can be done. The CHECK the bill was paid on must
be VOIDED from the BANK ACCOUNT before editing can occur.
FORM HELP
HELP INDEX
MAIN HELP MENU
MSYSOVR10
STABHLP #
HHELPNDX 1
MMAINHLP
BILLS FOR ACCOUNT NUMBER - HELP
Scrolling table of all bills making up the PERIOD dollars
for the account selected from the FINANCIAL PERIOD report.
To view the BILL RECORD place selector bar on the bill
you want and press the ENTER key.
MORE
SCROLLING TABLE HELP
HELP INDEX
MAIN HELP
MSYSOVR13
STABHLP %
HHELPNDX 3
MMAINHLP
RECEIPTS FOR ACCOUNT NUMBER - HELP
Scrolling table of all receipts making up the PERIOD dollars
for the account selected from the FINANCIAL PERIOD report.
To view the RECEIPT RECORD place selector bar on the receipt
you want and press the ENTER key.
SCROLLING TABLE HELP
HELP INDEX
MAIN HELP
MSYSOVR19
STABHLP #
HHELPNDX 1
MMAINHLP
ALL BANK ACCOUNTS SUMMARY - HELP
This is a summary of the account balances for all your
bank accounts. It can help to choose which bank account
bills should be paid from, or what bank account should
receive a deposit.
MORE
SCROLLING TABLE HELP
HELP INDEX
MAIN HELP
FFORMHLP
HHELPNDX '
MMAINHLP
CONFIRM DEPOSIT TICKET - HELP
This form is to verify that you have included only the
receipts you want on the deposit ticket. If all is OK
confirm the ticket. Then you will be asked what bank to
make the deposit to.
FORM HELP
HELP INDEX
MAIN HELP MENU
MSYSOV5
FFORMHLP
HHELPNDX +
MMAINHLP
CUT CHECK - HELP
This form is record CHECKS. Choose what bank account the
check is to come from. Carefully verify that the check
number presented is the correct check number. If it is
not correct type in the correct check number.
FORM HELP
HELP INDEX
MAIN HELP MENU
FFORMHLP
HHELPNDX
MMAINHLP
DELETE ACCOUNT NUMBER - HELP
This form is used to delete an account number. Since
all bills and receipts must have an account number you
cannot just delete an account number. You must transfer
the expenses form the account number to be deleted to
another account number. If you do not see an account
number you want to transfer to create a new account number
first, then do the delete.
FORM HELP
HELP INDEX
MAIN HELP MENU
MSYSOVR20
FFORMHLP
HHELPNDX
MMAINHLP
FINANICAL PERIOD DATE RANGE - HELP
This form is to get the DATE RANGE to calculate the
FINANCIAL PERIOD report. PERIOD dollars will include
transactions occurring between & including the dates
entered. YTD (year to date) dollars will include
transactions from January 1st of the year of the starting
date to but not including the starting date.
EX 1: start 04/01/90
THEN YTD start 01/01/90
06/31/90
03/31/90
EX 2: start 11/01/89
THEN YTD start 01/01/89
02/28/90
10/31/89
FORM HELP
HELP INDEX
MAIN HELP MENU
MSYSOVR20
STABHLP
HHELPNDX
MMAINHLP
FINANCIAL PERIOD - HELP
Scrolling table of all expense and receipt account
numbers with total dollars. The dollars are for the time
period you specified, and the YTD (year to date) is the
total of dollars from January 1st of the year of the
starting date.
You can view the items making up the PERIOD dollars by
placing the selector bar on the account number and
pressing the ENTER key.
The figures on the lower portion of the screen is a
condensed Profit/Loss statement.
MORE
SCROLLING TABLE HELP
HELP INDEX
MAIN HELP
HHELPNDX
MMAINHLP
%FORMS
Forms are used to add, update, or confirm deletion of a record. The areas
to be filled in are called FIELDS. Depending on the importance of the
information requested FIELDS can be 'required'. Required fields must have
acceptable data entered for you to continue. Most required fields have
a pop-up LOOK-UP TABLE that will show you correct answers if you try to
leave it blank or type in an incorrect answer.
EXAMPLE:
FORM
STANDARD FORM COMMANDS
Amount : 150.00
LOOKUP TABLE
KEY
ACTION
Account: Supplies
Account No.s
- End of field
Ctrl_END - Erase to end of
field.
1 Office
HOME - Start of field
2 Rent
- Backup a field. If
3 Supplies
first field then abort
4 Electric
changes and exit
ENTER - Next field. If last
ENTER - Select
field then save
changes and exit.
Help index
Main help
FFORMHLP
HHELPNDX '
MMAINHLP
BANK NAME REQUEST - HELP
This form requests what bank you are interested in. If
you type in a non-existant bank or leave the field blank
a pop-up list of banks will be presented to you. From
there you can add a bank or choose one.
FORM HELP
HELP INDEX
MAIN HELP MENU
SSYSOVR1
BBANKS
FFIANPRD
MMENUHLP
BBANKTRAN
PPMTTYP
STABHLP
BBANKSTAT
VVENDLK
FFORMHLP
BBALBNKBK
BBALSHT "
BBNKSUM
BBANKTYPE
BALLBILLS
RALLREC
BBILLREC
RRECREC
PPAYBILLS
DRECNTDEP
CCUTCHK
DVDEPTIC
IVCHKTIC
RREOCREC
RREOCBILL
DOUTITM
COUTITM
AACCLK
AACCLK
AACCTYPER
AACCTYPEE
ZBEST CHECKBOOK PLUS - HELP INDEX
SYSTEM
BANKS
MISCELLANEOUS
System overview
Banks
Financial period
Menus
Bank books
Payment types
Scrolling Tables
Bank statement
Vendors
Forms
Balancing account
Balance Sheet
"Bank summary
"Bank types
BILLS
*RECEIPTS
Bills
(Receipts
Bill record
"Receipt record
Paying bills
!Deposit receipts
Cutting checks
Deposit tickets
Items posted to checks
Reoccurring receipts
Reoccurring Bills
Deposits never on statement
Checks never on statement
Account numbers
Account Numbers
Account types
Account number types
MSYSOVR22
FFORMHLP
HHELPNDX +
MMAINHLP
UPDATE LOAN INFORMATION - HELP
This form is to edit or add a loan. Monthly payments are
calculated using standard amortization formulas for
compound interest. A new REPAYMENT ACCOUNT must be made
for all new loans in order to track repayment.
FORM HELP
HELP INDEX
MAIN HELP MENU
MSYSOVR23
STABHLP
HHELPNDX
MMAINHLP
LOANS PAYMENT INFORMATION - HELP
Scrolling table of all payments made for a loan, and a
status report on the loan balance.
MORE
SCROLLING TABLE HELP
HELP INDEX
MAIN HELP
MSYSOVR22
STABHLP
HHELPNDX
MMAINHLP
LOANS - HELP
Scrolling table of all loans. Follow instructions in the
instruction area to add, edit, or view a loan.
MORE
SCROLLING TABLE HELP
HELP INDEX
MAIN HELP
HHELPNDX
SSYSOVR1
ZBEST CHECKBOOK PLUS - MAIN HELP MENU
Help is available everywhere by pressing the F1 key.
Help Index
System Overview
Choose menu option or ESC - Return
HHELPNDX
MENU HELP
MENUS are your road map through this program. To choose
an option from the menu use the keyboard direction keys
to highlight the option you desire, or type the first
letter of the option. If more than one option has the
same first letter the selector bar will cycle through
the options as you press the letter.
Help index
MSYSOVR15
STABHLP #
HHELPNDX 1
MMAINHLP
SELECT MANUAL REOCCURRING BILL - HELP
Scrolling table of all MANUAL REOCCURRING BILLS. To
generate a bill into UNPAID BILLS place selector on the
desired bill and press the ENTER key. Modifications to
the generated bill can be done in the PAY BILLS screen.
MORE
SCROLLING TABLE HELP
HELP INDEX
MAIN HELP
MSYSOVR16
STABHLP
HHELPNDX
MMAINHLP
SELECT MANUAL REOCCURRING RECEIPT - HELP
Scrolling table of all MANUAL REOCCURRING RECEIPTS. To
generate a receipt into UNDEPOSITED RECEIPTS place the
selector on the desired receipt and press the ENTER key.
Editing of the generated receipt can be done in the
UNDEPOSITED RECEIPTS screen.
MORE
SCROLLING TABLE HELP
HELP INDEX
MAIN HELP
MSYSOVR9
STABHLP
HHELPNDX
MMAINHLP
DEPOSITS NEVER ON STATEMENT - HELP
Scrolling table of all deposits that have not cleared.
Mark the deposits shown on the statement from the bank.
Then process the deposits. To view receipts on the
deposit ticket place the selector bar on the deposit
ticket and press the ENTER key.
MORE
SCROLLING TABLE HELP
HELP INDEX
MAIN HELP
MSYSOVR8
STABHLP #
HHELPNDX 1
MMAINHLP
TRANSACTIONS NEVER ON STATEMENT - HELP
Scrolling table of all items that have not cleared.
Mark the items shown on the statement from the bank.
Then process the items. To view detail on the item
place selector bar on the item and press the ENTER key.
MORE
SCROLLING TABLE HELP
HELP INDEX
MAIN HELP
MSYSOVR3
STABHLP
HHELPNDX
MMAINHLP
PAY BILLS - HELP
Scrolling table of all UNPAID BILLS. To pay bills mark
bills that are to be paid on a check, then CUT THE CHECK.
This will change the bill from being "open" to "posted"
MORE
SCROLLING TABLE HELP
HELP INDEX
MAIN HELP
FFORMHLP
HHELPNDX
MMAINHLP
UPDATE PAYMENT TYPES - HELP
This form is to update payment types. Payment types
include CASH, Mater Card, etc.
FORM HELP
HELP INDEX
MAIN HELP MENU
FFORMHLP
HHELPNDX '
MMAINHLP
PROCESS DEPOSIT - HELP
This form requests what bank to make the deposit to. On
the previous screen you just confirmed the receipts for
this deposit. Also what date you will be making the
deposit.
FORM HELP
HELP INDEX
MAIN HELP MENU
MSYSOVR6
STABHLP #
HHELPNDX 1
MMAINHLP
UNDEPOSITED RECEIPTS - HELP
Scrolling table of receipts that have not been deposited.
Receipts can be edited. To edit a receipt place the
selector bar on the desired receipt and press the ENTER
key.
MORE
SCROLLING TABLE HELP
HELP INDEX
MAIN HELP
MSYSOVR4
FFORMHLP
HHELPNDX
MMAINHLP
RECEIPT RECORD - HELP
This form is to record receipts and the account number to
credit the receipt. If receipts have been posted no
editing can be done. The DEPOSIT TICKET that the receipt
was deposited on must be VOIDED from the BANK ACCOUNT
before editing can occur.
FORM HELP
HELP INDEX
MAIN HELP MENU
MSYSOVR15
STABHLP
HHELPNDX
MMAINHLP
REOCCURRING BILLS - HELP
Reoccurring bills is a time saving tool. Enter bills
that you commonly receive for the same dollar amount from
the same person. (Ex: Rent, garbage collection, etc.)
Reoccurring bills can be AUTOMATIC or MANUAL. Automatic
bills are entered into UNPAID bills on or after the day
of the month you specify. Manual bills can be called up
from UNPAID BILLS and generated at your discretion.
MORE
SCROLLING TABLE HELP
HELP INDEX
MAIN HELP
MSYSOVR16
STABHLP
HHELPNDX
MMAINHLP
REOCCURRING RECEIPTS - HELP
Reoccurring receipts is a time saving tool. Enter receipts
that you commonly receive for the same dollar amount from
the same person. (Ex: Pay checks, stock dividends, etc.)
Reoccurring receipts can be AUTOMATIC or MANUAL. Automatic
receipts are entered into UNDEPOSITED RECEIPTS on or after
the day of the month you specify. Manual receipts can be called
from UNDEPOSITED RECEIPTS and generated at your discretion.
SCROLLING TABLE HELP
HELP INDEX
MAIN HELP
MSYSOVR2
MMAINHLP
HHELPNDX
SYSTEM OVERVIEW
ZBEST starts with your BILLS (electric, rent, etc), and RECEIPTS
(paychecks, interest dividends,etc.). You pay your BILLS with checks
or credit cards, and deposit your RECEIPTS using DEPOSIT tickets.
You can have unlimited bank accounts and credit cards.
BILLS and RECEIPTS are entered into the system as soon as you receive
them. You do not have to pay them right away. This allows you to keep
track of your BILLS until the time of the month you normally pay them.
So unlike a checkbook you not only know your account balance but how
much you owe and have not paid or deposited.
ACCOUNT numbers are assigned to every BILL & RECEIPT. You can create
any account numbers you want. This way you can track your electric usage,
food bill, or your sales commission.
LOANS can either be given, or received. You might give a loan to your
brother, or receive a car loan from the bank.
Main Help
Help Index
MSYSOVR11
BSYSOVR9
MMAINHLP
HHELPNDX
SYSTEM OVERVIEW
Page 10
EXPENDITURE ACCOUNT NUMBERS - These account numbers will track your
expenses for a particular items. Example rent, electric, commissions
paid, office supplies, etc. You can create as many account numbers
as you want with what ever name you want.
All bills require an expense account number. To view expenses by
account number choose the FINANCIAL PERIOD from the main menu.
You will be asked for a starting & ending date for the period. You
will then be shown how much you spent on each account for that period.
Highlight any account number that has had charges and press the ENTER
key to view the actual bills that make up the charges to the account.
EXPENDITURE ACCOUNT NUMBER TYPES - Each account number has a type. When
creating an account number you will be given a list of acceptable types.
The types are:
MATERIALS PURCHASED FOR RESALE
OPERATING EXPENSE
CREDIT CARD PAYMENT
BANK TRANSFER
LOAN PAYMENT MADE*
BACK UP
Main Help
Help Index
MSYSOVR12
BSYSOVR10
MMAINHLP
HHELPNDX
SYSTEM OVERVIEW
Page 11
EXPENDITURE ACCOUNT NUMBER TYPES - Continued.
MATERIALS PURCHASED FOR RESALE - As it sounds this is used by businesses
to record items purchased that will be resold. It is to track
profitability of certain product lines, profit margin etc. It
should not be used by the personal user.
OPERATING EXPENSE - This is all expenses for goods & services other
than materials for resale. Another name for this is OVER-HEAD
expenses. The personal user should use this for expenses.
CREDIT CARD PAYMENT - This is to pay credit card bills with. It is a
transfer account type. Transfer account types do not get included
when totalling up expenses. This is because when a bill is paid using
a credit card the expense is recorded. If the credit card bill
was also totalled it would double the expenses.
BANK TRANSFER - This is to account for transferring money between checking
and savings for example. Since no money was actually spent this
BACK UP
Main Help
Help Index
MSYSOVR13
BSYSOVR11
MMAINHLP
HHELPNDX
SYSTEM OVERVIEW
Page 12
EXPENDITURE ACCOUNT NUMBER TYPES - Continued.
BANK TRANSFER - This is to account for transferring money between checking
and savings for example. Since no money was actually spent, the
monies are not totalled up when determining total expenses.
LOAN PAYMENT MADE * - This is a special TYPE used to track repayment
of loans taken out by you or your company. Only when creating
an account number from the LOAN screen will this be given you as
a choice for LOAN TYPE. Dollars charged to this account will not
be totalled when calculating expenses. The money received as a loan
would be deposited into a bank account and spent from there.
BACK UP
Main Help
Help Index
MSYSOVR14
BSYSOVR12
MMAINHLP
HHELPNDX
SYSTEM OVERVIEW
Page 13
RECEIPT ACCOUNT NUMBER - Receipt account numbers are used to track
receipts. Every receipt must be given an account number. Example salary,
sales, interest income, etc. You can create as many receipt accounts
as you want and name them whatever you want.
RECEIPT ACCOUNT NUMBER TYPES - Every account number is given a type.
There are only certain types you can choose:
SALES
BANK TRANSFER
OTHER INCOME
LOAN PAYMENT RECEIVED *
SALES
- Used by business to track sales income.
BANK TRANSFER - Used when depositing a receipt from another one of
your bank accounts. Accounts with this TYPE do not
get totaled when calculating income.
BACK UP
Main Help
Help Index
MSYSOVR15
BSYSOVR13
MMAINHLP
HHELPINDX
SYSTEM OVERVIEW
Page 14
RECEIPT ACCOUNT NUMBER TYPES - Continued.
OTHER INCOME - Used to track all types of income except sales. Examples
are interest income, commissions, etc. Personal users
should use this for all their income.
LOAN PAYMENT RECEIVED * - This is a special TYPE. It can only be used
when you are creating a loan. This is to record payments
to repay a loan you or your business gave to someone
else. Example: You give your brother a $500 loan. When
entering the loan through the LOAN screen you will be
asked for an account number to track repayment of that
loan. That loan will have a type of "LOAN PAYMENT
RECEIVED". This account will not be totaled when
calculating income.
BACK UP
Main Help
Help Index
MSYSOVR16
BSYSOVR14
MMAINHLP
HHELPNDX
SYSTEM OVERVIEW
Page 15
REOCCURRING BILLS - This is a time saver when entering bills. If you get
bills for the same amount and from the same vendor each month then
creating a reoccurring bill will be helpful. Examples of Reoccurring
bills are rent, insurance payments, water bills, etc. Instead of
entering the bill each month create a reoccurring bill. You can
make both AUTOMATIC and MANUAL reoccurring bills. Reoccurring bills
will only create a bill and place it in the UNPAID BILLS screen.
You will still have to cut a check for it to be posted. Reoccurring
bills are created with the CREATE REOCCURRING BILL option from the
main menu.
AUTOMATIC - Each time this program is turned on the reoccurring bills
will be checked for any bills due to be generated. The fist time the
program is used on or after the generation DAY the bill will be
generated.
MANUAL - Any time from the UNPAID BILLS screen you can call up the list of
manual reoccurring bills. Highlight the one you want then press the
ENTER key and the bill will be generated.
BACK UP
Main Help
Help Index
MSYSOVR17
BSYSOVR15
MMAINHLP
HHELPNDX
SYSTEM OVERVIEW
Page 16
REOCCURRING RECEIPTS - This is a time saver when entering receipts. If you
receive receipts for the same amount from the same person each month
then creating a reoccurring receipt will be helpful. Examples are
paychecks, stock dividends, etc. Instead of entering the receipt
each month create a reoccurring receipt. You can choose either
AUTOMATIC or MANUAL reoccurring receipts. Reoccurring receipts will
only create a receipt and place it in the UNDEPOSITED RECEIPTS screen.
You will still have to make a deposit ticket for it. Reoccurring
receipts are created with the CREATE REOCCURRING RECEIPT option from
the main menu.
AUTOMATIC - Each time this program is turned on the reoccurring receipts
will be checked for any receipts due to be generated. The fist time
the program is used on or after the generation DAY the receipt will be
generated.
MANUAL - Any time from the UNDEPOSITED RECEIPTS screen you can call up the
list of manual reoccurring receipts. Highlight the one you want then
press the ENTER key and the receipt will be generated.
BACK UP
Main Help
Help Index
MSYSOVR18
BSYSOVR16
MMAINHLP
HHELPNDX
SYSTEM OVERVIEW
Page 17
BANK ACCOUNTS - These are your bank books. To view them choose BANK ACCOUNTS
from the main menu. You will see what looks like a standard check book
but there is a big difference. If you highlight a check entry and press
the ENTER key you will see a list of all the bills paid with the check.
As you are looking at the bills highlight any bill and press the ENTER
key and you will see the actual BILL RECORD. The same sort of
information is presented to you if the entry in the bank book was a
deposit instead of a check.
VOIDING checks and deposits is done from here. If you highlight an
entry an press the DEL key the entry will be deleted (VOIDED). All
bills or deposits associated with the entry will be placed in UNPAID
BILLS or UNDEPOSITED RECEIPTS, whichever is appropriate.
If a '*' is in the column headed by "
" means the entry has
"cleared" (been shown on bank statement).
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Page 18
BANK TYPES - There are five types of bank accounts.
CREDIT CARD
OTHER ASSET
OTHER LIABILITY
CASH - Usually used a petty cash. This is an ASSET
BANK - Checking or savings accounts. This is an ASSET
OTHER ASSET - Trust fund, Stocks, Bonds, etc. This is an Asset.
CREDIT CARDS - Master card, Visa, etc. This is a Liability
OTHER LIABILITY - Sales tax collected, etc.
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ALL BANKS SUMMARY - This is a quick look at the status of all your bank
accounts. This screen can be accessed from the main menu or from
various other screens. It is accessible from CUT CHECK so you
can see how much you have in each account, and it is accessible from
UNDEPOSITED RECEIPTS so you can determine which account should get
the deposit.
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MMENUHLP
MTABHLP
MFORMHLP
MSYSOVR3
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HHELPNDX
SYSTEM OVERVIEW
Page 2
The screens displayed throughout this program fall into one of the
following categories:
MENUS - Allow you to choose an option.
SCROLLING TABLES - Most often used to locate a record to be edited.
Used to display lists of information inside of
windows. Lists are typically longer than the
the screen can show so the list will scroll up &
down to display to complete list. Some tables
have SEARCH included. SEARCH allows you to type
in the name of what you are looking for and the
table will scroll to the nearest possible match.
FORMS - Used to change information in a record (i.e. checks, bills,
etc.).
MORE ABOUT MENUS
MORE ABOUT SCROLLING TABLES
MORE ABOUT FORMS
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, 5t
3 4p
MSYSOVR21
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Page 20
FINANCIAL PERIOD - This is a summary of expenses and income by account
number for a given time period. Also included is a brief Profit &
Loss statement.
The account numbers are on a scrolling table. Highlight an account
number and press the ENTER key to see the actual bills or receipts
that make up the dollars shown for that account number. Then
highlight any one of the items shown and press the ENTER key to view
the actual RECEIPT or BILL record.
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SYSTEM OVERVIEW
Page 21
BALANCE SHEET - This is list of all your assets and liabilities.
The balance of Assets - Liabilities is your NET WORTH.
Assets increase your worth and liabilities reduce your worth.
Assets include bank accounts, cash, money people owe you,etc.
Liabilities include money owed on credeit cards, loans, etc.
Account numbers are designated as being either an asset or
liability when you choose an ACCOUNT TYPE when entering a
new account number into the system.
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Page 22
LOANS - You can track loans. LOANS can be GIVEN or RECEIVED.
GIVEN - You can give a loan to your brother, your company, or
or a friend. Loan repayments will entered into RECEIPTS
using the account number you specify for tracking the
repayment. Given loans are an asset.
RECEIVED - This is a loan you take out. May be a home mortgage,
car loan, or business loan. Loan repayments will be entered
into BILLS using the account number you specified for
tracking the repayment. Received loans are LIABILITIES.
ADDING A LOAN - Based on you answers for Amount, Interest rate, and
Term, the monthly payment is calculated based on standard
amortization formulas for compound interest.
Loans are automatically given a new account number to
track repayment of the loan. DO NOT USE ANOTHER ACCOUNT
or repayment tracking will not work!!
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SYSTEM OVERVIEW
Page 23
LOANS - Continued.
VIEWING PAYMENTS - From the screen showing you the loans given & received
you can view repayments for any loan by placing the
selector on the desired loan and pressing the
F4 key.
While viewing the loan repayments you can view the
actual BILL or RECEIPT record by placing the selector
bar on the desired payment and pressing the ENTER key.
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BSYSOVR23
MMAINHLP
HHELPNDX
SYSTEM OVERVIEW
Page 24
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MSYSOVR4
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SYSTEM OVERVIEW
Page 3
BILLS - We will now look at the path bills take.
1 - A Bill is entered as an unpaid bill, and given an expense account
number. The expense account number will track electric usage for
example. The bill will show on the ALL BILLS. It will be marked
as open. Open bills can be updated.
2 - Bills are paid by cutting a check. Many bills can be paid on one
check. An example is a business that is on NET 30 DAY terms. Once
a month all the bills to a vendor are paid on one check.
When cutting the check you chose which bank account to pay from.
3 - The BILL will be on the ALL BILLS screen. It will be marked
as posted since you paid it. Posted bills cannot be edited. To
edit the bill you must first VOID the check. This will unpost all
the bills paid by the check. To VOID a check you must call up
the bank book you paid the check from, there will be instructions
on how to VOID A CHECK
3 - The check will now be listed a "never shown on statement". When
you balance your bank account the check will be "cleared".
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SYSTEM OVERVIEW
Page 4
RECEIPTS - We will now look at the path receipts take.
1 - A receipt is entered on UNDEPOSITED RECEIPT screen, and given a
receipt account number. The receipt account number will track sales
for example. The receipt will show on ALL RECEIPTS screen.It will be
shown as open. Open receipts can be updated.
2 - Receipts are deposited to a bank account on a deposit ticket.
Many receipts can be deposited on a deposit ticket. When making
a deposit you choose the bank account to deposit the money.
3 - The RECEIPT will be on the ALL RECEIPTS screen. It will be marked
as posted since you deposited it. Posted receipts cannot be edited.
To edit a receipt you must first VOID the deposit ticket.
When you void a deposit ticket all the items on that ticket will be
put in the UNDEPOSITED RECEIPTS screen. Deposit tickets can only
be voided from the Bank Book.
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SYSTEM OVERVIEW
Page 5
CHECKS - We will now look at the path checks take.
1 - Checks are created when paying bills. The check was given a bank
account to be drawn from. When a check is first written it is
considered "outstanding". When you receive the check back from
the bank and it showed on the bank statement it is considered
"cleared.
2 - All your checks & deposits show on your bank account (check book).
You can see your bank accounts by choosing BANK ACCOUNTS from the
main menu.
3 - To VOID a check call up the bank account the check is from. Find the
check and put the selector bar on it. Then press the DEL key to
delete the check.
4 - CLEARING a check. When you receive a bank statement choose BALANCE
BANK ACCOUNT from the main menu. Then choose CHECKS NEVER SHOWN ON
STATEMENT for the next menu. There you can mark the checks shown on
the statement and record their "clearing".
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SYSTEM OVERVIEW
Page 6
DEPOSITS - We will now look at the path deposits take.
1 - Deposits are created when depositing receipts into a bank account.
When a deposit is first written it is considered "outstanding". When
you receive your monthly bank statement and the deposit is shown
on the statement it is considered "cleared".
2 - All your checks & deposits show on your bank account (check book).
You can see your bank accounts by choosing BANK ACCOUNTS from the
main menu.
3 - To VOID a deposit call up the bank account the deposit was made to.
Find the deposit and put the selector bar on it. Then press the DEL
key to delete the deposit.
4 - CLEARING a deposit. When you receive a bank statement choose BALANCE
BANK ACCOUNT from the main menu. Then choose DEPOSITS NEVER SHOWN ON
STATEMENT from the next menu. There you can mark the deposits shown
on the statement and record their "clearing".
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SYSTEM OVERVIEW
Page 7
BANK STATEMENTS - Are the means of balancing you bank account. Each month
you receive a bank statement for every bank you have
an account with. ZBEST considers CREDIT CARDS as
bank accounts.
All bank statements have basically the same information:
Starting balance - Balance of account as of the last statement.
Withdrawals
- Withdrawals are checks, service charges, automatic
teller machine withdrawals, etc.
Deposits/Payments - Interest from savings, credit card payments,
deposits, etc.
Ending balance
- The balance of all transactions.
Statement Date
- The date the bank statement was printed.
To BALANCE an account you must determine which of you withdrawals & deposits
are still outstanding. Then add them to the ENDING BALANCE on the
statement. If this figure matches the balance you show in your check
book the account is IN BALANCE. If not you must determine what
transaction is missing.
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Page 8
BANK STATEMENTS - Continued.
BALANCING your checkbook with ZBEST is easy.
1 - Choose BALANCE BANK ACCOUNT from the main menu.
2 - Enter the Bank name and statement date on the next menu.
3 - Choose TRANSACTIONS NEVER SHOWN ON STATEMENT from the menu.
4 - This screen will show you all the checks written from that bank
that have never cleared.
5 - Use the MARK function key shown in the INSTRUCTION AREA of the
screen to mark all the items that show on the statement you received
from the bank. If you accidentally mark a wrong item hitting the
mark function key again will UNMARK the item.
6 - When all the items are marked press the POST MARKED ITEMS function
key. The items will disappear from this screen since they are
now marked as "cleared".
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MSYSOVR10
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Page 9
BANK STATEMENTS - Continued.
BALANCING your checkbook with ZBEST is easy. Continued.
7 - After posting all of the cleared items press the ESC key to return
to the BALANCE BANK ACCOUNT menu.
8 - Choose BANK STATEMENT from the menu. Compare the Starting balance,
Ending balance, Withdrawals, and Deposits shown on the screen to
the statement you received from the bank. If they match
YOU'RE DONE.
9 - If the bank statement on the screen does not match the statement from
the bank compare the two statements. You may have forgotten to
register a check or deposit into the system. Usually the cause is
Service charges by the bank since they are withdrawn automatically.
10 - After finding the cause you may have to go back and enter a bill or
deposit to make the statement balance.
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HHELPNDX
MMAINHLP
SCROLLING TABLE HELP
Scrolling tables are used to locate an item for editing, viewing or as a
lookup. Because all the items in the list cannot be shown on the table at
one time the table scrolls up & down to display more items. To locate an
item fast some scrolling tables have locators. STANDARD COMMANDS work on
most scrolling tables (sometimes you are not allowed delete a record).
As in all screens special instructions are located at the bottom.
EXAMPLE:
Account No.s
FIND Off
<-- Locator
STANDARD COMMANDS
KEY
ACTION
ENTER
- Select
1 Materials
- Add
2 Office
<-- Selector bar
- Delete
3 Rent
Ctrl_ENTER - Edit
4 Phone
- Exit
5 Supplies
PgUp
- Page Up
PgDn
- Page Down
ENTER - Select
<-- Instruction area
- Up one
- Down one
Help index
Main help
MSYSOVR15
FFORMHLP
HHELPNDX
MMAINHLP
UPDATE REOCCURRING BILL - HELP
This form is to record reoccurring bills and the account numbers to
charge the bills. You can choose to make it AUTOMATIC of MANUAL.
Automatic bills are checked each time the program is started.
If the date is equal to or greater than the day of month generation
was specified the bill is generated and place in UNPAID BILLS
Manual bills are available from the UNPAID BILLS screen and can
be generated at your discretion.
MORE
FORM HELP
HELP INDEX
MAIN HELP MENU
MSYSOVR16
FFORMHLP
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MMAINHLP
UPDATE REOCCURRING RECEIPT - HELP
This form is to record reoccurring receipts and the account number
credit the receipt. You can choose to make it AUTOMATIC of MANUAL.
Automatic receipts are checked each time the program is started.
If the date is equal to or greater than the day of month generation
was specified the receipt is generated and place in UNDEPOSITED
RECEIPTS. Manual receipts are available from the UNDEPOSITED
RECEIPTS screen and be generated at your discretion.
MORE
FORM HELP
HELP INDEX
MAIN HELP MENU
STABHLP
HHELPNDX
MMAINHLP
VIEW CHECK - HELP
Scrolling table of all items paid on the check. To view
the BILL RECORD place the selector on a bill and press
the ENTER key.
SCROLLING TABLE HELP
HELP INDEX
MAIN HELP
STABHLP
HHELPNDX
MMAINHLP
VIEW DEPOSIT TICKET - HELP
Scrolling table of all receipts deposited on this deposit
ticket. To view the RECEIPT RECORD place the selector
on a receipt and press ENTER key.
SCROLLING TABLE HELP
HELP INDEX
MAIN HELP
HHELPNDX
TTABHLP
MMAINHLP
VENDOR LOOKUP - HELP
This scrolling lookup table will show you a list of
your VENDORS. Vendors are persons or companies you
purchased from. You do not want to clutter this list
with vendors you do not do business with regularly. If
you are entering a bill from a 1 time vendor just type
their name in the BILL RECORD.
HELP INDEX
TABLE HELP
MAIN HELP
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