Interprise Suite - Simpler yet more advanced accounting
Designed to work seamlessly for small to medium businesses, Interprise Suite
offers an enterprise level of functionality combined with the usability of
off-the-shelf accounting products that provides connectivity like no other. With
the use of .NET technology that allows unlimited access of users whether
connected via LAN or remotely connected thru the Internet, Interprise Suite's
accounting module provides benefits to all departments providing real time,
company wide information when needed, managing the most comprehensive and up to
the minute financial reports in just a few clicks.
As the heart of the financial application, the Interprise Suite Accounting
Module features the most advanced accounting principles such as a
multi-segmented general ledger, extensive transaction history and comprehensive
budgeting. Audit trailing gets even simpler. Because the Accounting Module is
very easy to set up, even complex accounting schemes become un-complex with
Interprise Suite's General Ledger set up Wizard and virtually unlimited financial
reporting capabilities.
Interprise Suite Accounting Module Benefits
- Multi-Dimensional General Ledger/Chart of Accounts
- General Journal
- Unlimited Budgeting capability
- Provision for Bad Debts and Write off Routines
- Tools and set up
MULTI-DIMENSIONAL GENERAL LEDGER AND CHART OF ACCOUNTS
With Interprise Suite, your accountant gets a multi-dimensional view of your
company's financial information. It supports up to 5 levels of General Ledger
Segments, so it is easy to keep track of expenses for each segment such as offices,
departments, accounts, projects and more. Creating the General Ledger is a
breeze with the wizard-based set up. Budgets are created and maintained and
variances tracked per account in the General Ledger.
Because Interprise Suite is fully integrated and can support simultaneous access
of unlimited users, all accounting information is stored and updated in
real-time. Get the most accurate report containing all transactions of your
company, and get a clear view of all your payables and receivables.
- Ability to create custom-made or industry-specific selection of chart of account structures
- Detailed Account Information
- Detailed Account Transaction History
- Wizard-based COA set up simplifies General Ledger creation and maintenance
- Segmented GL that supports for up to 5 levels
- Easily keep track of expenses for each segment such as offices/branches, departments, projects, accounts and more
- Automatically assigns default accounts used in posting
- Print out a comprehensive COA report
- Statistical analysis of nominal accounts
- User-defined accounting periods, either fiscal or calendar year
- Automatically produce income statements, balance sheet statements, cash flow statements and other trend reports
- A full range of General Ledger Reports including multi segmented reports
GENERAL JOURNAL: CREATE ENTRIES FOR TRANSACTION EVENTS AS THEY OCCUR
The General Journal is very important for accountants and audit officials. This
will provide the complete audit trail for all transactions including who, how,
and when they were created. With a completely integrated approach and drill-down
capabilities of Interprise Suite's General Journal module, details about these
transactions are just one click away. You can even make reversing entries for
dealing with accruals and prepayments. The General Journal features:
- Complete audit trail
- Drill-down to transaction records
- Drag and Drop grouping for easier analysis
- Support for reversing entries
- Support Prior Year Posting
- Period and year end processing
- Integrated Interprise Word for creating letters and documents
- Simple query for posted and unposted journals
- Easily create journal entries using journal templates created from previous entries
- set up and process recurring journal entries
- Post transactions individually - or in batches
UNLIMITED BUDGETING CAPABILITY
With Interprise Suite's Accounting module, you can do annual budget allocations
and expenditure programs that will help expand the value of your financial
strength. You can easily monitor and measure actual vs. allocated budgets with
percentage variances. You have the option of choosing either a fiscal year or
calendar year budgeting to suit your budget allocation needs.
- Budget reports allows you to evaluate the expenses easily.
- set up and maintain budgets for every account necessary
- Apply whole budget amount for each account
- Copy existing budget details from other accounts
- Use incremental values
- Import budget details
- Budget split tables for seasonal businesses
- Edit multiple budgets and accounts simultaneously
- Fiscal year or calendar-based budgeting
- Track and measure actual versus budgeted with percentage variances
- Drag and Drop functionality for easier analysis
PROVISION FOR BAD DEBTS AND WRITE OFFS
The Accounting Module includes wizards designed for the non-account type of user
to easily process adjusting entries such as accruals and prepayments. Wizards
are also provided in making provisions for invoices subject to bad debts. You
can choose to write off outstanding amounts also through a wizard.
- Filter invoices subject for bad debt provision or write off by overdue date, minimum balance amount, or by customer
- Bad debts can be reversed at any time
- Write off routine - you can write off a portion or the whole balance amount
- Entries generated by the accrual or prepayment wizard can be amended
until posted through the batch posting routine
PERIOD/YEAR END PROCESSES
All journal entries made in Interprise Suite are kept in the "Unposted" file and
can be amended until posted finally into the General Ledger through the Batch
Posting Wizard. A month end routine wizard is provided to help the person
responsible to do the tasks he expects to accomplish at the end of an accounting
period. The process month end wizard includes options to process pending
recurring transactions, re-evaluate stock and multi-currency transactions, post
transactions, and print reports before finally closing the period. If it is the
year end, the system will prompt the event and make the necessary adjustments.
- Reports are kept (PDF) even if the user chooses not to print them in the month end routine. Perform batch posting
- GST Reporting
- Multi-currency revaluation
- Stock revaluation
- Review previous batch posts in a batch post history
ACCOUNTING SET UP
The set up menu has options to maintain set up information used for the Accounting
Module tasks. Accounting periods, default posting accounts, layouts for
financial statements and preferences for accounting analysis are managed through
this menu. Minor set up items such as account segments and account sub groups are
also maintained here.
- Maintain account codes and add new ones as your company grows
- Retrospective analysis of debtors and creditors
- Maintain account segments and account sub groups
- Financial Statement Layout - define your own or copy from financial statement layout templates
- Set up and maintain fiscal year/periods
- Extend or shorten periods and the journal entries are re-periodized accordingly
- Assign default accounts for posting
- Set preferences as to where the account analysis would come from
