Accounts
Overview
Chart of Accounts is a list of numbered accounts containing Ledger Account Names and Numbers that are affected by the financial transactions of a business into the General Ledger. The Purpose of the Chart of Accounts is to provide a listing of the different accounts used by the organisaion according to their intended purpose. Readysell has a set Chart of Accounts, the Chart is reviewed by the Site as additonal Accounts may need to be added. The 7 Basic Accounting Types (in order) are:
Getting Started
- Creating/ Modifying a general ledger account
- Restricting Transaction types from a General Ledger Account
- Drilling down to transaction details from an account
- Entering General Ledger Budget Figures
- Understanding wages in the general ledger
- Finding Bank Balance
- Changing a postable account to be a header account
- Closing a General Ledger Account
- Maintaining and assigning Tax Codes to Transaction Types within Chart of Accounts
- Creating a type of Bank Account and linking a Tender
- Printing the Chart of Accounts
Reference
Buttons
There are no custom buttons for this list. Refer to Common Buttons.
Fields
Field | Description |
---|---|
Account ID | The Account ID, used to identify the General Ledger account |
Account Type | The account type determines whether this account is an asset, expense, income or liability. |
Description | This field shows the account's |
Status Tab
Field | Description |
---|---|
Current Period Range | |
Start Period | The Period you have set to be the Start Period |
End Period | The Period you have set to be the End Period |
Actual Opening Bal | Total Sum of all Transactions that are dated into the Period Less than the Start Period that has been set. |
Actual Closing Bal | Actual Opening Balance + Actual Movement |
Budget Opening Bal | Total Sum of All Values that are in a Period Less that the Start Period that have been set with Budgets. |
Budget Closing Bal | Budget Opening Balane + Budget Movement |
Actual Movement | The total sum of all movements from the start to the end period |
Budget Movement | Sum of all Values in the Budger for the Period |
Comparison Period Range | |
Comparison Start Period | Sum of all Values in the Budger for the Period |
Comparison End Period | The Previous Comparative End Period |
Actual Opening Bal | Total Sum of all Transactions that are dated are have a Period Less than the Comparative Start Period. |
Actual Closing Bal | Actual Opening Balance + Actual Movement |
Budget Opening Bal | Total Sum of All Values that are in a Period Less that the Comparative Start Period that have been set with Budgets. |
Budget Closing Bal | Budget Opening Balane + Budget Movement |
Actual Movement | The total sum of all movements from the comparative start to the comparative end period |
Budget Movement | Sum of all Values in the Budget for the Period |
Account Sites tab
Button
Image | Field | Description |
---|---|---|
Filter: - | Filter | Display the balance/transactions for the site and period select |
Related | Shows objects related to the current selection, in this case it will show the site details. | |
Dissections | Is a list of all the transactions that have been dissected against that Bank Account highlighted for the Period Range that has been set. | |
Daily Totals | Shows you a Total Dollar Value Summarised by Date,Transaction Type for all transactions for that one Account Site. |
Account Sites>Balances and Budgets Tab
The Balance and Budgets tab contains the Movement for the period and the Budget for the Period. The 'Variance' is the difference between the Movement and Budget for the period set. The Period range that is set,whether it be at the header level or detail level is global.
As you highlight each Period within 'Balance and Budgets' a Daily Balances tab Summary View displays below. This view show you the sum of all Movements and Budgets by Date Range for that Period highlighted.
As you highlight anywhere within the Daily Balances detail view, then click on Dissections button, you will see the break up for that makes up that whole period highlighted.
Once again if you highlight one of the transactions within the Dissections Detail View and click on 'Show Source Record' you will see the original transaction itself.
Field | Description |
---|---|
Period | The Financial year selected being either the current period or all periods by dropping down the filter and selecting. |
Actual Movement | The actual movement is the total of all the debit less credit postings to one general ledger account site for a single period |
Budget Movement | This is the budget movement |
Variance | This field shows the variance for the balance and budget |
Daily Balances
Field | Description |
---|---|
Date | The date and time of the daily balance and budget in summary |
Actual Movement | The actual movement is the total for that day in summary |
Budget Movement | This is the budget movement for that day in summary |
Variance | This field shows the variance for the balance and budget in summary for the day |
Settings
Field | Description |
---|---|
Show on P&L | Output General Ledger Account/Description and Values on P&L Report |
Show on Bal Sheet | Output General Ledger Account/Description and Values on Balance Sheet Report |
Heading on P&L | Output on the P&L as a heading |
Heading on Bal Sheet | Output on the Balance sheet as a heading |
P&L Sort Index | Usually left as 0 |
Bal Sheet Sort Index | Usually left as 0 |
P&L Parent | Insert the Parent GL account for the child GL account. |
Bal Sheet Parents | Insert the Parent GL account for the child gl account |
Normally Debit/ Credit | How the value is to display on the report |
Daily Budgeting | If this is turned on you can set up or import daily budgets for a general ledger account as opposed to periodical budgets. |
Clear to Account | The P&L appropriation general ledger account that all the income/cost of goods and expense accounts are cleared to. |
Clear At Year End | This needs to be turned on for all Income/Revenue/Cost of Goods and Expense accounts that you wish to clear at year end to the Clear to Account. |
Settings>Bank Account tab
Field | Description |
---|---|
Is Bank Account | If this field is True, this determines that this account is a bank account and can be linked to tenders. If this check box is ticked, the transactions can be seen in the Banking file. If this check box is checked you can perform a bank reconciliation for this form of a bank account. If you ever turn this check box off at any point in time, then any tender used that is linked to this bank account the movements will not flow through to the banking module. |
Primary Bank Account | You can only have 1 primary main bank account. |
Bank Account Bank | The bank eg ANZ |
Bank Account Name | The name on the Bank Account |
Bank Account bsb | BSB |
Bank Account Number | Bank Account number |
Benchmarks
Field | Description |
---|---|
Benchmark ID | Name |