|
TABS GENERAL ACCOUNTS SYSTEM >> CREDITORS
LEDGERS
Product
Overview
This module controls the Accounts Payable functions
for an organisation. Purchase invoices may be entered directly into
the TABS Creditors Ledger, or via other TABS modules (ie Stock Control,
Time & Materials, etc), with optional allocations to the TABS
General Ledger. Cash payments are performed in the TABS Cashbook
module.
The system maintains transactions in an Open-item
format (ie transactions are retained in detail until fully accounted
for). Once an invoice has been completely accounted for, details
are transferred to History. Comprehensive enquiry and reporting
facilities (on outstanding and historical transactions), allows
timely and accurate reporting of the accounts payable position.
Software
Features
TABS CREDITORS LEDGER -
Software Features  |
 |
GST/VAT capable.
|
 |
On-line and interactive. Meaning all
necessary areas of the system are updated as soon as
a transaction has been completed.
|
 |
Accrual facilities, allowing suppliers
invoices (and payments) to be entered into the next
month without having to close the current month.
|
 |
Supplier Invoice transactions are retained
as active (outstanding) on the system until they are
'completed' by means of either cash payment or invoice
adjustment (credit).
|
 |
Completed transactions are transferred
to History, where they may be accessed for enquiry or
reporting purposes.
|
 |
Audit trails may be produced automatically
at the completion of data entry, or printed at a later
date.
|
 |
Ability to scroll, select or create
Supplier accounts during transaction entry sessions.
|
 |
Account balances may be dissected into
6 age-breaks (ie current, 30, 60, 90, 120, 150+ days)
|
 |
Enquiry facilities provide access to
outstanding and historical transactions. Balance Status
information ensures the sub-ledger agrees with the General
Ledger control account. Finally, the General Ledger
allocation may be viewed for each transaction.
|
 |
User definable analysis types facilitate
comprehensive purchase reporting.
|
 |
Diagnostic tools to ensure the Creditors
Ledger balances are supported by transactions, and agrees
with the General Ledger Trade Creditors control account
(if integrated with the General Ledger).
|
 |
The ability to operate individual trading
terms for each Creditor.
|
 |
Remittance Advice and/or
cheque printing facilities via the TABS Cashbook module. |
 |
Ability to enter, print
and maintain Purchase Orders, monitoring the receipt each
item, including partial receipts.
|
 |
Optionally linked to the
TABS General Ledger, purchase transactions may be entered
directly into the Creditors module or via other related
TABS modules (ie Stock Control) |
 |
All cash payment transactions
are processed through the TABS Cashbook. |
 |
Electronic Funds Transfer
(EFT) payments may be generated for selected suppliers
and passed to on-line banking software packages. |
 |
Purchase Orders may be
raised and controlled through the system. |
 |
Supplier's Invoices may
be entered with expense information optionally written
directly into the TABS General Ledger. GST calculations
are performed and GST transactions written (where applicable).
|
 |
Foreign Currency transactions
are supported, together with Foreign Currency exchange
controls. |
|
Standard
Reporting Available
Reports from the TABS Creditors Ledger include:
Supplier Balances (Aged Trial Balance) |
Detailed Transaction Listing |
Supplier Names & Addresses |
Remittance Advises |
Supplier Labels |
Purchase History/Analysis |
Purchase Orders |
Foreign Currency |
Foreign Currency - Exchange Control Allocations |
Foreign Currency - Exceptions |
ADHOC
and ODBC Reporting Capabilities
Adhoc reporting tools (including ODBC drivers)
allows information stored in the TABS Debtors Ledger to be accessed
directly.
General Ledger I
Debtors Ledger I
Creditors Ledger
I Cashbook
I Payroll/Personnel
Stock Control/POS
I Aviation
I Time
& Material/Job I
Asset Management
|