Assignment 6 PORTFOLIO GUIDELINES
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AIN2601 PORTFOLIO DETAILED STEP BY STEP GUIDELINES
TABLE OF CONTENTS
SECTION A – COMPANY SETUP .................................................................................................... 6
Task 1: Create the Company Using Setup Assistant ..................................................................... 6
Task 2: Create Supervisor User ...................................................................................................... 7
Task 3: Edit the Chart of Accounts ................................................................................................. 9
Task 3.1 – View the Trial Balance ....................................................................................................... 9
Task 3.2 – Edit Existing Accounts ..................................................................................................... 10
Task 3.3 – Create New GL Accounts ................................................................................................ 12
Task 4: Setup Company Parameters ............................................................................................ 13
Task 4.1 – Change Company Name and Trading Name ................................................................. 14
Task 4.2 – Enter Contact Details ....................................................................................................... 16
Task 4.3 – Document Numbers .......................................................................................................... 17
Task 4.4 – Set Cash Book Transfer Account .................................................................................... 17
Task 4.5 – Make a Backup ................................................................................................................. 17
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AIN2601 PORTFOLIO DETAILED STEP BY STEP
GUIDELINES
TABLE OF CONTENTS
SECTION A – COMPANY SETUP .................................................................................................... 6
Task 1: Create the Company Using Setup Assistant ..................................................................... 6
Task 2: Create Supervisor User....................................................................................................... 7
Task 3: Edit the Chart of Accounts ................................................................................................. 9
Task 3.1 – View the Trial Balance ....................................................................................................... 9
Task 3.2 – Edit Existing Accounts ..................................................................................................... 10
Task 3.3 – Create New GL Accounts................................................................................................. 12
Task 4: Setup Company Parameters ............................................................................................. 13
Task 4.1 – Change Company Name and Trading Name ................................................................. 14
Task 4.2 – Enter Contact Details ....................................................................................................... 16
Task 4.3 – Document Numbers .......................................................................................................... 17
Task 4.4 – Set Cash Book Transfer Account .................................................................................... 17
Task 4.5 – Make a Backup ................................................................................................................. 17
Task 5: Setup Users, Entry Types and Tax .................................................................................. 18
Task 5.1 – Setup Additional Users ..................................................................................................... 18
Task 5.2 – Change Entry Type Descriptions .................................................................................... 26
Task 5.3 – Set Tax Default Entry Method ........................................................................................ 27
Task 5.4 – Set Tax Reporting Frequency .......................................................................................... 28
Task 6: Setup Customers Control, Suppliers Control and Inventory........................................ 28
Task 6.1 – Setup Customer Control Configuration ......................................................................... 29
Task 6.2 – Setup Customer Statements and Messages .................................................................... 30
Task 6.3 – Setup Early Payment Terms and Processing Method ................................................... 31
Task 6.4 – Setup Supplier Control Configuration ........................................................................... 31
Task 6.5 – Setup Supplier Terms and Tax........................................................................................ 32
Task 6.6 – Inventory Decimal and Discount Settings ...................................................................... 33
Task 6.7 – Configure Inventory Integration Groups ....................................................................... 33
Task 6.8 – Print Inventory Groups Listing....................................................................................... 36
Task 6.9 – Backup PPS Defaults ........................................................................................................ 37
Task 7: Edit Supplier Accounts ..................................................................................................... 38
Task 7.2 – Print Supplier Master Listing ......................................................................................... 41