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Disk No: 2496
Disk Title: QUE Accounts Receivable
PC-SIG Version: S1
Program Title: QUE Accounts Receivable
Author Version: 1.1
Author Registration: $45.00
Special Requirements: 640K RAM and two floppy drives or a hard drive, an
QUE ACCOUNTING ACCOUNTS RECEIVABLE (QUE A/R) integrates with the QUE
General Ledger or works alone. Like the QUE G/L it is menu driven,
includes context sensitive help screens, and does take some accounting
knowledge to operate. QUE A/R supports multiple companies and is a
serious financial tool. Some of its features include:
~ Credit limits per customer and default credit terms
~ Automated dunning messages
~ Invoices with user defined formats (Bill To:, Ship To:, etc)
~ Unlimited number of distributions per invoice
~ Tracking of sales by salesperson and product with reports
~ Customer statements
~ Aging (detail and summary) for any date
~ Uses dBase compatible files.
The extensive report writer and query systems makes any information
easily accessible. QUE A/R integrates with the other QUE accounting
modules and is a great way to get control of your receivables.
PC-SIG
1030D East Duane Avenue
Sunnyvale Ca. 94086
(408) 730-9291
(c) Copyright 1989-1991 PC-SIG, Inc.
QUE ACCOUNTING
Accounts Receivable Installation
For the system to function properly, it must be installed on a
hard drive. The specific requirements are listed below. Note
some adjustments may be required of DOS configuration files.
HARDWARE
QUE requires :
- 640K MEMORY
- 1,000,000 BYTES FREE on hard disk *
- a floppy drive used for installation
SOFTWARE
- CONFIG.SYS - needs to have FILES=25 and a BUFFERS=16
- Must be installed on C or D drive. To install to other
drives the knowledgeable person can change the INSTALL bat
files.
The directory structure created during installation is the value
entered at the command:
eg A:INSTALL QUEAR
where QUEAR is the name of the directory to be created
In case this directory is already used for another application,
no files or programs will be overwritten and no harm should come
to that system. However removing the other system to a separate
directory, is advised.
PROCEDURE
The system comes with 1 diskette. To install the system insert
the diskette into drive A and type in
C> A:INSTALL QUEAR
To install from another drive(example B), change the INSTALL.BAT
file to read B: in all places where A: is found or type in the
following commands:
C> MD QUEAR
C> CD QUEAR
C> B:PKUNZIP -O B:QUEAR
The documentation may be viewed on line or printed out by typeing
the following command. Note the manual is segregated into several
sections following the Main Menu structure.
PRINTDOC
You are now ready to start. Please do the following:
C:
CD\
C> CD QUEAR
C> ARMUC
Enter "AAA" for COMPANY and "test" for PASSWORD and then go to
the UT Menu and select the REINDEX option in order to create the
index files. If you don't do this step, the system will not work.
▄▄▄▄ ▄ ▄ ▄▄▄ Version 1.1
█ █ █ █ █▄▄ July 90
█ █ █▄▄█ █▄▄
▀▀▀▀▀
█▄▄▄▄▄▄▄▄▄▄▄█
<<< QUE ACCOUNTING >>>
Copyright (c) 1990
Accounts Receivable
OPERATIONS MANUAL
Table of Contents
CF Customer Files
Customer Master
Display Invoices
Group Payments
Customer List
RM Report Menu
Cash Receipts
Adjustments (credits, debits, service charges)
Invoice Register (Detail,Summary)
Aging Report (Detail,Summary)
Customer Statements (History, Open Invoices)
Products Sold
Delinquent and Installments
EP Period End Process *
MT Maintenance Table
Shipment Carrier
Products and Services
Credit Terms
Credit Ratings
Chart of Accounts *
Ship To Addresses
Bill To Addresses
Units of Measure
Invoice Format Setup
Source Code Table *
AR Setup File
QR Query and Report Writer *
Manual
Filelist
UT Utility Menu
Backup *
Restore *
Reindex
Other Functions *
Calculator
Notepad
* These functions are generic to the QUE Accounting series of
programs and only appear on the AR menu for stand alone
systems. Otherwise they are included as options on the Main
Menu of the integrated QUE Accounting system.
Overview
The Accounts Receivable(AR) program may be used as a
stand alone system or as a stand alone module integrated
into the QUE Accounting General Ledger. Like the General
Ledger(GL), the AR system provides the ability to record
transactions for a given company and department. However,
unlike the GL system, only one department is assigned to
a company.
All Companies or One
Each time you log onto the system, you are required to
enter the company code. The company activated at this
time is also the company code recorded on each
transaction (cash receipt, invoice or adjustment) entered
unless otherwise changed for the duration of a particular
function which allows the company to be overridden. The
corresponding department code is retrieved from the
company Setup record.
The following lists those functions which allow override
of the sign-on company. Regardless of the override, once
complete, these functions reinstate the signon company.
Functions Allowing Override
Report Menu
Cash Receipts
Adjustment Report
Invoice Register
Product Report
Delinquent and Installments
Customer Files
F8 Payments
Some functions are considered common to all companies and
therefore allow no other option than showing 'ALL'
company records. They include:
Functions for All Companies Only
Report Menu Customer Files
Customer Statements Customer List
Inventory Listing
Ageing Report
Utility Menu
Backup and Restore
Reindex
Maintenance Menu
(All functions)
End of Period
Functions for Signon Company Only
Customer Files
F7 Display Invoices
F3 Cash Receipts
F4 Adjustments
F5 Print Invoices
D Delete
A Add
E Edit
Stand Alone vs Integrated
The GL PATH field in the AR Setup file along with the
existance of the GL program, MAINMENU.EXE, in that
directory determines whether or not the system is to be
used as stand alone or integrated.
If integrated, the End of Period function is disabled on
the main menu as well as the GL Chart of Accounts
function on the MT maintenance menu. Other changes
include the use of the General Ledger Chart of Accounts
and Source Code tables in the validation of AR entries.
If the GL PATH field is left blank in the company AR
setup record the system will be treated as a stand alone
program activating the End of Period process and
substituting the AR Source Code and Chart of Account
tables. The Chart of Accounts function on the Maintenance
Menu will be activated for data entry.
Company records may be set up as either stand alone or
integrated regardless of the values placed in the setup
records of other companies in the system.
MAIN MENU
19:45:10 Accounts Receivable 12/23/90
Company-> ABC Main Menu Period: 7
F1 Help ESC Exit F6 Calculator F10 Window
QUIT EXIT from System
CF. Customer Files
RM. Report Menu
PE. End of Period Close *
MT. Maintenance of Tables
WR. Query and Report Write *
UT. Utility Menu
Description
The Main Menu provides the entry point to the various
functions within the system. The menu items are in the
sequence most likely to be used.
Items are selected by moving the highlight bar to the desired
option and pressing enter or by pressing the leftmost
character of the desired selection.
The top two lines are standard screen headings and indicate
the time and date the function was accessed, the company
logged onto, and the current period.
The third line 0xscribes the global function keys that maybe
used throughout most of the system.
F1 Help Context sensitive help
ESC Exit Exit current process
F6 Calculator Popup calculator
F10 Window Context sensitive lookup table
* These options only appear on stand alone systems. Otherwise,
they are included in the integrated system as global
functions.
CF CUSTOMER FILES
Overview
This function provides the ability to Add, Change, and Delete
master records and invoices. The functions are displayed on
the vertical menu at the bottom of the screen. The activation
keys are highlighted.
The Add, Edit and Delete options relate to the customer
master record while the function keys are used for other
purposes.
F5 is used to write-off invoices with immaterial open
balances.
F7 is the access path to an individual customer's invoices.
F8 is used to pay a number of invoices at once for a given
customer.
F9 produces a customer master report.
Selection Screen
The first screen to be presented is the selection screen
which allows you to specify a given subset of customers as
identified by their group field value. The group field value
is a value stored on each customer master record used to group
or categorize several customers together based on some like
characteristic such as type of products ordered, size, etc..
Usage is entirely controlled by you.
Enter Group range start B1
end B2
The Customer Id field is also used to find the master record
for a specific customer. Once into the display screen pressing
any letter other than A,E and D,(which are reserved for other
functions) will bring up the search prompt.
Enter Id to search for __________
The first customer with this given id will be highlighted. A
partial selection can be made if the exact value is unknown.
For example, 'AAA' would find the first record following 'AAA'
as if a CUSTID of 'AAA' actually existed and the operator hit
enter to move the highlight to the next record.
Customer Control Screen
19:32:20 Time Recorders Inc. 05/23/90
Accounts Receivable Transactions Period:9
F1 Help ESC Exit F6 Calculator F10 Window
Customer Company Name Phone Ext
┌───────────────────────────────────────────────────────┐
│BELL Bell Towers John Bell 111-222-3333 4444│
│EEEEEEEE Screams Inc Jill Shrill 123-help 5555│
│HARRY Handsome Harry Joe Smith 302-123-6666 2222│
└───────────────────────────────────────────────────────┘
F5 Writeoff F7 display invoices F8 payments F9 list
B-Z Find A Add E Edit D Delete <> to move Esc to exit
1) Add and Edit
a) Description
The only difference between the Add and Edit screens is that
the CUSTID field may not be changed in the Edit mode. All
other fields have the same edits and validations regardless of
the update mode.
The screen is separated into two distinct sections;
1) the address and
2) credit information
The address portion for the most part is self explanatory.
The first three lines of the address may be used in any
fashion. A company name exceeding the Company field presented
or 'Care of' addresses may be placed in the first address
field.
Certain values within the credit section may need further
explanation. First of all, the CREDIT RATING and PAYMENT TERMS
fields must preexist in their respective tables before they
may be entered. These tables can be updated through the MT
function off of the Main Menu
The PAYMENT TERMS field is the default, or usual payment
terms given for this particular customer. As invoices are
added these terms are applied to the invoice automatically;
although they may be overridden when needed. They constitute
such values as:
2N3 2 percent net 30 days
COD Cash on delivery
The CREDIT RATING field is used to rate customers according
to their payment record. The 4 character field may represent
any combination of letters and numbers desired. For example:
POOR Poor payment record AAA The best always on time
GOOD Good payment record A2 Good but not the best
FAIR Not bad and not good
The GROUP field may be used to group customers in various
categories such as:
W,M,S Weekly, Monthly, Seasonal frequency of purchases
B,M,S Big,Medium,Small Size of client
EQ,SU Equipment,Supplies product type purchased
The EXEMPT field tells whether or not the Customer is exempt
from state tax. If so, space is provided for the authorization
number in the TAX ID field.
Y Yes exempt
N No not exempt
Although the system does not prohibit taxing an exempt
customer a warning is displayed whenever a tax entry is made
against an exempt status customer.
The UNAPPLIED amount represents any overpayments made by the
customer. It can be applied to any open balanced invoice by
manually deleting the amount from the Master record and adding
the proper accounting transaction during one of the Payment
processes (F3 and F8). Until it is applied, the UNAPPLIED
amount does not constitute a cash deposit unless a journal
entry is used to record it through the General Ledger Module
(ET module). The UNAPPLIED amount is automatically updated
during the F8 Payment function when there is a surplus of cash
to be applied.
The OPEN BAL field is calclated each time the customer's
master record is brought into the Edit mode (E). All invoices
credits, debits, and payments are added together to derive the
customer's open balance.
b) Operations (Add/Edit screen)
┌───────────────────────────────────────────────────────┐
│Customer Company Name Phone Ext │
│ │
│ BE┌─────────────<< Master Record >>─────────────────┐ │
│ EE│ │ │
│ HA│Customer Id: BELL Company: Bell Towers │ │
│ │Contact: John Bell Phone: 111-222-3333 │ │
│ │Address: Care of John Bell │ │
│ │Address2: 1450 West Chester Pike Ext: 4444 │ │
│ │City: West Chester State:PA Zip:44444-444│ │
│ ├─────────────────────────────────────────────────┤ │
│ │Credit Rating: good Pay terms: ABC Exempt?:F │ │
│ │Credit Limit: 10000.00 Group:AA Open Bal:10000.00│ │
│ │Comments Tax Id: 888888888888 Unapplied: 50. │ │
└───│this is the comment lineeeeeeeeeeeeeeeeeeeeeeeee │─┘
└─────────────────────────────────────────────────┘
Ctrl-W save edits Esc exit without saving
Please consult the appendix for information on cursor movement
and keystrokes used to navigate around the screen.
2) Delete
The delete mode will erase the customer's master record and
all invoices that belong to that customer id. If they exist, A
confirmation message will appear on the screen giving the
option to cancel the delete request.
In case of an integrated system, all account balances will be
adjusted accordingly in the Trial Balance.
F5 Write Off
This option is used to 'write off' miscellaneous balances
still open on the books. A prompt is provided to allow for the
entry of a specific dollar amount for the write-off criteria.
Enter amount for writeoff ______
All invoices that are to be written off are printed on a
report and each is credited with a 'WOF' source code
transaction. The offsetting debit entry is acquired from the
Source Code table.(see MT function in setting up source codes)
F7 Display Invoices
This option will display selected invoices for the
highlighted customer. All invoices or only those with open
balances can be shown. A prompt will display when F7 is
selected allowing you to make your choice
17:19:16 Time Recorders Inc. 07/02/90
Accounts Receivable Master Period:2
F1 Help ESC Exit F6 Calculator F10 Window
Customer Company Name Phone Ext
┌────────────────────────────────────────────────────────┐
│ BELL Bell Towers John Bell 111-222-3333 4444│
│ EEEEEEEE Screams Inc Jill Shrill 123-help 5555│
└┬───────────────────<< BELL >>───────────────────┬──┘
│Custid Invoice Inv Date Due Date Invoice Amount │
├────────────────────────────────────────────────────┤
│ BELL BELL2 06/01/90 06/01/90 1000.00 │
│ BELL TEST 06/07/90 06/07/90 100.36 │
└────────────────────────────────────────────────────┘
F3 cash receipts F4 adjustments F5 print invoice
B-Z Find A Add E Edit D Delete <> to move Esc exit
1) Add, Edit
a) description/operations
The Add function is used to add a new invoice while Edit is
used to modify an existing one and to add new line items.
┌──────────────────<< Invoice >> Open bal 1000.00──┐
│ │
│Cust Id BELL Shipto 1 Billto 1 Shipby AAA │
│Invoice # TEST1 Amount 1000.00 │
│Inv Date 05/23/90 Terms ABC │
│Due Date 01/23/90 Salepers _____ │
│Order# _________ │
│ │
┌┴─────────────────────────────────────────────────────┴┐
│Product Description Unit Qty X Price = Total│
├───────────────────────────────────────────────────────┤
│ 1111 Time clock prin -8 96.00 -768.00│
│ CSHP Transportation -1 32.00 -32.00│
│ CTAX Sales Tax -1 200.00 -200.00│
└───────────────────────────────────────────────────────┘
Ctrl-W goto detail records Esc exit without saving
When an invoice is selected, the operator is automatically
placed in the top portion of the screen for data entry. In the
case of add all fields are blank except the Cust Id, Inv Date,
Due Date and Terms fields which default to the current
customer, the current date and the normal payment terms as
retrieved from the customer master record, respectively.
The CTRl W key combination is used to activate the detail
portion of the currently displayed invoice. The ESC option
performs the balancing routine and exits the invoice if the
detail line items are in balance with the invoice header (top
portion of screen).
In both the Add and Change modes validations are made to:
1) assure Payment and Shipment Carrier values exist in their
respective tables
2) a unique invoice number is used to identify the invoice
3) product numbers are validated against the Chart of
Accounts
4) quantity on hand in the inventory file is sufficient
for order (optional with inventory enhancement)
Invoice Balancing
The Amount field which appears on the invoice header must be
the absolute equivalent of all detail line items in order for
the invoice to be saved and posted. The operator has the
option of using the control feature of manually calculating
the total amount before entry of the line items or use the
computer to determine the total.
Skipping the header amount entry will cause an out of
balance condition when the ESC key is used at the end of line
item entry. In this case the cursor is placed back in the top
portion of the screen and the total of the line items as
calculated and displayed on the left portion of the screen may
be entered to balance the invoice.
Using the Calculator
The pop-up calculator may be used to calculate taxes, total
line items and determine other fiqures while within the body
of the invoice. The amount calculated and appearing in the
calculator window may be transferred to the price or amount
field on the invoice by pressing the CTRL P combination.
Description field
The description field appearing on each line item may
contain any text desired. Using the F10 key to select a
product or service code from the Chart of Accounts
automatically pulls in the description from the table.
However, this information may be overwritten or additional
information added. In the latter example, a product
classification of Time Clock may be a generic description but
additonal information such as the model number and
manufacturer may be added at the time of invoicing.
The entire description field may be deleted with a CTRL T
combination or by pressing F10 again, a new description may be
retrieved from the table. If the product code is changed
without using F10, the original description stays entact.
Debits and Credits
QUE Accounting has taken the position to use the natural
polarity of the transaction amounts to properly reflect credit
and debit transactions. These are of course, negatives for
credits and positive values for debits. Some accountants
prefer to use all positive values to reflect the 'normal'
balance of accounts but we have found this method is sometimes
more confusing in the long run.
Product vs Sales
The negative QTY figures in the screen example represent a
depletion in inventory and a increase in the Cost of Goods
Sold, a debit to Accounts Receivable(AR) and a credit to
sales.
The first portion of this entry is due to using the
invoice detail line to record inventory reduction. This is
detected by the range of product numbers setup as Inventory in
the ST Setup function. The AR and Sales accounts are pulled
from the Source Code Table.
* This option is only available with the inventory
enhancement.
Horizontal Scrolling
The cutoff description field in the detail records is only
done for display purposes. In actuality the description field
is 60 characters long and uses a horizontal scrolling feature
that allows a larger field to be accessed in a smaller screen
space. Moving the cursor to the end of the field will show
how the words scroll off the screen much like an electronic
message board.
2) Delete
A deleted invoice will reverse all transactions associated
with the selected invoice in the current period. Fully
satisfied invoices cannot be deleted.
In case of billing errors for closed invoices, adjustments
must be made to the customer's account through separate credit
and debit invoice transactions.
3) F3 Cash Receipts
Payment transactions can be applied against a specific
invoice through this selection. When chosen, a transaction
window pops up with the total open balance amount in the
transaction amount field. This value as well as the default
account number for the Debit portion of the transaction can be
modified as long as the amount does not exceed the total
amount outstanding and the account number is a valid entry.
Pressing the F8 key at this time will display the source
code table in case the default debit account number needs to
be changed. The default value is retrieved from the first CSR
source code entry in the table.
4) F4 Adjustments
Similar to F3 Cash Receipts a transaction window pops up
allowing entry of a Credit or Debit transaction while the F8
key allows the selection of account values.
In case of Credit (CRD) transactions, the amount may not
exceed the open balance of the invoice.
5) F5 Print Invoice
This option prompts for a specific invoice format to be used
in the printing or displaying of the selected invoice. The
invoice format is stored in the Invoice Format table
accessible through the MT function.
Invoices may also be printed through the DI option on the
Report Menu (RP).
F8 Payments
a) Description
The Payments screen allows distribution of a single cash
payment to several open invoices. The payment itself can be
split into three different segments representing, Tax and
other categories.
b) Operations
┌─────────────■<< BELL >>──────────────┐
│ Code Amount │
│Enter account code(s) CTAX 1000.00 │
│ and amount(s) CSHP 9200.00 │
│Enter payment date 05/23/90 │
├──────────────────────────────────────┴┐
│ TEST1 01/23/90 1000.00 √ │
│ TEST2 02/23/90 1000.00 │
│ TEST3 03/23/90 956.00 │
│ TEST4 04/23/90 10000.00 │
└───────────────────────────────────────┘
1 Invoice selected for 1000.00
9200.00 still remaining
Press Enter to Toggle invoices to be paid
Highlight each of the desired invoices and press enter to
mark the invoice for payment. Pressing 'Enter' toggles invoice
selection off and on while reducing or increasing the amount
allocated. The bottom portion of the screen shows the number
of invoices selected, the total dollar amount and the amount
still undistributed.
Hitting the 'ESC' key completes the selection process and
initiates the creation of the Cash(CSR) records. Each invoice
is processed by comparing the payment totals for each Cash
code(CTAX,CSHP) entered to the distribution lines in each
invoice. If there is a match, a record is created in the
amount of the open balance for that Cash code. The dollars
allocated to the selected invoice are subtracted from the
total payment and the process continues to the next selected
invoice.
Partial payments must be made through the F3 Cash receipt
function in the F7 Display Invoices module.
For example, the transaction to record payment for the
following invoice with three line items, as listed, is to
debit two cash accounts and credit Accounts Receivable.
Invoice Line Items
1111 Time Clocks - 1 100.00 -100.00
CTAX Tax - 1 10.00 -10.00
CTAX Tax - 1 10.00 -10.00
Transaction recorded.
Cash 100.00 Note the CTAX record is accumulated.
Ctax 20.00 The AR credit and Cash entries are
extracted from the Source Code Table.
AR 120.00
The remaining balance is added to the Unapplied amount on
the customer's master rescord and no Cash Receipts is recorded
for this amount until it is applied to an invoice or entered
as a separate journal entry into the system.
In the integrated system, an account number is used to
record the surplus automatically. It resides in the company AR
Setup record off of the Mainmenu.
F9 Customer List
The customer list is a hard copy report of the customer
master file. It should be periodically printed and used as a
reference document and backup to the master file residing on
the computer.
It contains the same information that exists on the screen
and may be printed as often as needed.
RP Report Menu
The Report Menu produces the transaction registers, aging
reports and sales reports by product codes, typical of most
business carrying receivables. The reports may be executed as
often as desired and always include the most updated
information from the transaction files.
Selection Parameters
The transaction registers may be applied against a given
period or range of periods while the aging report can be shown
in both summary and detailed formats for a given customer or
range of customers.
QUIT Return to Main Menu
CR. Cash Receipts
AR. Adjustment Report
IR. Invoice Register
RA. Aging Report
ST. Customer Statements
PR. Product Report
DI. Delinquent and Install
** Besides the reports listed above, the system comes equipped
with a Query and Report Writer function that allows you to
create your own reports selecting the data to appear, the
sequence and the desired range based on values entered for
dates, accounts, customer, etc..
*** An example of each report appears in the Appendix
CR Cash Receipts
This report will list all cash receipt records(CSR source
code) for the selected period. A subtotal will be produced for
each unique account number used.
Period range Start 0
End 13
AR Adjustment Report
The adjustment report will list all adjustments for the
period range selected. Credits (CRD), Debits (DEB) or Service
Charges (SVC) transactions only may be specified.
Period range Start 0
End 13
Enter CRD/DEB/SVC or blank ____
IR Invoice Register
This report lists all invoices for the selected range. The
Detail option will print a complete transaction list for each
invoice selected.
Period range Start 0
End 13
Enter "D" for Detail ___
Enter Salesman Start _____
End _____
The Salesman option is used to find the total sales
attributed to a given salesman(s). This may be used in
determining commissions by salesman code.
RA Aging Report
The Aging report determines the how old an open invoice is
by comparing the invoice duedate to the date entered at the
prompt. By answering 'Y' at the second prompt, all open
invoices will be shown as a separate line item on the report.
Otherwise there will be only one line item per customer with
the total due under each aging category.
Enter Date for Processing 05/23/90
Enter 'Y' for Detail Listing Y
ST Customer Statements
The customer statements may be produced for all customers,
an individual customer or a range of customers as defined by
their customer ids.
Vendor range start AAAAAAAA
end CZZZZZZZ
Include History ? ___
The History option will print all transactions for the given
year.
PR Product Report
The product report will list all transactions within the
ranges selected. Sub-totals will be given for each break in
the account(product) number.
Period range Start 0
End 13
Product Range from 0000
to 9999
DI Delinquent and Installments
This option allows reprint of invoices either past due or
those associated with installment type invoices.
If any past due invoices have a credit term with service
charges then they will be invoiced for the charge at this time
and it will appear on the newly printed bill.
Any open invoice that has not yet been printed will be
printed at this time. Duplicate prints will be noted and the
proper Dunning messages will appear as determined in the AR
setup table for the selected company. Past due messages are
determined by the age of the receivable as it falls within the
FRom/To categories.
The option to pause between invoice prints allows adjustments
for friction feed invoices.
A specific invoice format must be selected at the onset of
this option. Output can be directed to the screen or the
printer. Any service charges (SVC) calculated will only be
posted during the Print option.
PE END OF PERIOD PROCESSING
19:45:43 Accounts Receivable 02/23/90
Company-> ABC PE Period Process Period: 7
Do you wish to continue?
Description
The PE end of period process clears out the current
transaction files and archives the transactions into
history files. Once performed the only way to go
back into this closed period is to restore files from
diskettes.
Modifications can be made to past periods if the flag is
set in the AR Setup file.(see AR Setup for instructions)
Otherwise, changes can only be made to a closed period only
if that period is activated by restoring the system files
from diskette.
Various prompts are displayed as warnings and requests for
confirmations.
Archiving transactions...
Indexing ...
MT MAINTENANCE MENU
09:51:48 Accounts Receivable 02/24/90
Company-> ABC Maintenance Menu Period: 7
F1 Help ESC exit F6 Calculator F10 Window
QUIT return to MAIN MENU
1. Shipment Carrier
2. Salesperson Table
3. Inventory File *
4. Credit Terms
5. Credit ratings
6 Shipto Addresses
7. Billto Addresses
8. Units of Measure
9. Source Codes
IS. Invoice Format Setup
AR. AR Setup Table
Description
The maintenance menu provides the ability to modify and print
the system tables used in validation and in assuring system
integrity.
Each option on this menu uses the same key strokes for
navigation and updating procedures. Once you're familiar with
these keys in one program the knowledge is immediately usable
for all the other maintenance tables.
The keys perform the following functions:
Ctrl Home Beginning of record
Ctrl End End of Record
Ctrl -> Pan to the right
Ctrl <- Pan to the left
Enter Open a field for modification
F7 Find a specific value
Ctrl-PgDn Goto Bottom of file
Ctrl-PgUp Goto Top of file
- Delete current record
+ Add a record
PgUp Previous screen
PgDn Next screen
Source Code
The Source Code table plays an important part in recording
the accounting transactions. With an integrated system, the
Source code table from the GL is used when entering in values
to the Ar system. Make sure the account numbers properly
reflect the debits and credits desired.
Credit Terms
The credit terms file has five fields for each term to be
added. The Credit and Description fields are used to identify
the entry. The Credit is the identifier entered on the Invoice
header and Customer master record.
The Installment, Service Charge and Duration fields are
used in the Delinquent and Install report option. The
Installment field tells whether or not the code is for
installment type invoices. The Service charge is the amount
charged for late invoices. If less than 1.00 it is considered
as a percentage of the open balance. Amounts greater than 1.00
are considered flat charges. The Duration field is the number
of days allowed before the invoice is considered delinquent.
In the case of delinquency, the appropriate dunning message
from the AR Setup table is printed.
The Message field in the table is used to print a reminder
or a notice on the invoice. In the case of Installment type
invoices, the message is always printed if the MES field is
used in the IS Invoice Format table.
Printing
Using the WR Report Writer feature these tables can be
easily printed.
IS Invoice Setup
The Invoice Setup program provides the facilities to layout
your invoice(s) format. The table provides for complete design
of an invoice including box drawing and underlineing. It can
also be used to fit the row and column combinations of
preprinted forms.
a) description
CAUTION Depending on the options used, this function may be
somewhat confusing. Consequently reading through the following
detailed description is recommended.
Each unique format is composed of two separate sections, a
header and detail. The header contains the dimensions of the
invoice, special printer codes and your company's name,
address and telephone number to be printed. The detail portion
contains several records responsible for the design of the
invoice body. It determines the print position of pertinent
information such as shipto and billto addresses, the quantity
and prices of the products ordered and also allows input of
characters to print boxes and underline information. The
system comes equipped with a sample invoice layout that
implements these features.
1) Print Code
The print code on the header record is used to format
your printer for printer fonts, spacing, page length and the
like. It handles a combination of three parameters common to
many EPSON type printers. Additional software and /or dip
switching may be needed to get the exact printer mode desired.
2) Type Field
The TYPE field in the detail portion controls the
operations done to that entry. The acceptable values include
T Text field
F Field from actual invoice
G Grand total (invoice amount)
D Detail line items
The Text type entry is used when you desire printing of a
fixed value such as a column heading or a dotted underline.
When encountered the row,and col fields on the record
determine the print position of the text. While all other
fields are disregarded by the computer, the fieldname however
can be used to provide a brief description of the entry so
that it can be easily identified in the detail display screen.
The Field type entry must contain a valid value from the
valid field list provided. If it does not the function will
abort. Proper spelling as shown is required. The field may
also contain text characters that appear either before or
after the printing of the field. All text entries are
truncated to the right for all spaces. The position field
controls the print location (before and after) of the text
field relative to the ROW and COL positions.
The Grand total entry is simply the total dollar value as
calculated from the invoice line items. Like a field, a text
line is provided to highlight the amount field entry.
The Detail type entry is the layout of the invoice line
items. It is different from the other types in that the
position of each field on a line is determined by the two
character number appearing after the field delimiter (/).
eg. quantity/10descr/30price/40price*quantity/50
As the example shows, quantity, description, price and total
(price*quantity) are the fields to appear and their positions
are 10, 30,40,and 50 characters from the Col field,
respectively. All entries on file for the chosen invoice will
be printed unless the override code is used (to be discussed).
to defer printing.
2) Conditional printing
The override clause of the Field and Detail type entries
is used to conditionally skip the printing of a line depending
upon a value. For instance in the printing of miscellaneous
charges such as TAX or FREIGHT, one might prefer to print
those charges in a different position than that of normal
product lines.
To do this in a F (Field) type entry, the conditional
identifier, a left bracket ([), is used to identify the start
of a condition. For example:
quantity/03[val('1')]10
| | | |
| | | override column
| | conversion code (* see list)
| normal print column
field name from list
In this entry, the quantity field is printed at column 3
unless the quantity is equal to a 1, in which case it is
skipped until all other detail items are processed. All
override records are printed using the column values following
the condition(in brackets), in this case, at column 10.
All fields within the detail line may contain a
conditional value. However, they are mutually exclusive.
Meaning that the first value encountered with a valid match
constitutes a deferred printing status.
Printing of fields for override records with no
conditions is achieved by leaving the area between the
brackets, blank. For example:
quantity/03[]10substr(descr,1,10)/15['Sales tax']30
|
note, no condition
The condition is removed from the quantity field and a new one
is added to the descr field. When a record is encountered with
a description (descr) field equal to 'Sales Tax' the record is
placed in the override area. When printed, the quantity field
will be printed at 10 columns pass the col value while the
descr will be printed 30 pass the value of col.
Another feature added to this example is the use of a
substring clause on the field entry. This substring clause
enables us to print only the first 10 characters in the descr
field and to use those 10 characters as our base for
comparison to the condition ('Sales Tax'). Allowable clauses
and conversion codes are defined later.
3) Reserved field entries
There are four reserved words in the detail section:
NAME
SHIPTO
BILLTO
MES
The NAME field identifies where the company name, address
and phone number are to appear on the invoice. When entered,
four records are created, one for each line item in the
address. If a line is to be deleted, it can be done so after
the initial creation. Only changes to the NAME field will
create the additional records. (NAME2,NAME23,NAME234).
The SHIPTO and BILLTO words work accordingly. But at the
time of invoice printing the SEQ number on the invoice is used
to pull the appropriate address from the SHIPTO or BILLTO
file. If it is not present in these files, the address
information on the customer's master will be printed in its
place.
The MES field identifies where the dunning message from
the AR Setup file is to appear. If this field is left out of
the detail section the dunning message will not appear.
** All reserved words must be in capital letters.
4) Conditional clauses and conversion codes
The following 'verbs' may be used and in some cases must
be used in order to perform conditional validations against
certain values. The purpose is to convert the information
entered in the detail entry, which is in 'Ascii' or text
format, into the appropriate forms for comparisons.
There are three basic data types in the system. To
convert the detail entry clause to the proper type use the
values listed to the right of the data type.
Data Type VERB
DATE CTOD,CTOD
NUMERIC VAL
Character STR,SUBSTR
Although some data types may be intuitive, such as TRAN_DATE
being of DATE type, a list of types is provided with the VALID
FIELD list.
The CTOD function converts a character date into a date
value recognized by the system. For example:
TRAN_DATE[CTOD('01/02/90')]
The DTOC function performs just the opposite and is used
against the field value. For example:
DTOC(TRAN_DATE)['01/02/90']
The VAL functions is used to convert a character number
to a number recognized by the system while the STR function
does the opposite. Similar to the data functions, the clauses
may be used on either side of the expression.
QUANTITY[val('1000')]
STR(QUANTITY)['1000']
The SUBSTR function is used to look at a portion of a
larger character field. In the system, a 60 character
description field is provided for each invoice detail item. If
only a portion of the field is to printed or only a portion is
needed for comparisons, this function is used.
SUBSTR(DESCR,1,10)['Sales Tax']
This value is always used on the field portion of the entry.
* Since these functions are actual functions used in DBASE
dialects. Others may be used. Consult a book on DBASE if you
desire more flexibility.
5) Multiple description lines
Sometimes there is the need to print a product description
beyond the 60 characters provided in the detail record. To
print more than one line simply add a detail record to the
invoice with blank quantity and price fields in the position
desired.
Using the tilda (~) character in any position within the
description field fixes the position of that line in the
invoice body regardless of any exceptional conditions noted
for that record.
b) operations
21:40:31 Time Recorders Inc. 07/08/90
Maintenance Menu Period:2
F1 Help ESC Exit F6 Calculator F10 Window
QUIT return to MAIN MENU
<< Invoice Layout >>
Invoice Description Length Width Company
111 test number 111 24 70 QUE Account
<< Invoice 111 >>
Invoice Field Name Row Col Type
111 NAME 2 5 F
111 I N V O I C E 2 50 T
111 NAME1 3 5 F
111 invoice text 3 40 T
111 NAME12 4 5 F
B-Z Find A Add E Edit D Delete <> to move Esc to exit
The screen above shows the detail display table for the
selected format (111). Since there are no special conditions
or edits to these records, an explanation of the typical Add,
Delete, Edit and Search functions is missing.
However, there is an option not shown that may be
accessed from the Header display screen that allows the
display of the selected invoice format to the screen. This
function is highlighted as F2 on the header screen.
Note that the detail entries appear in Row, Col sequence.
AR Ar Setup Table
a) description
The setup table is used to control access and store
certain miscellaneous information. The field names as they
appear on the screen are to the left. Those with a '(I)' after
the name are used when the system is integrated with the
General Ledger module.
Period date date the period ends
Password needed to signon to the system
Company three character company code
Number of Periods number in fiscal year
Current period
Screen header
Report header
Restore flag indicates an improper shutdown
Auto restore if T automatic restore will occur
Force print if T need a printout before end
Status
Tax Code Code used to identify tax
Dunning message1 | The messages to print on late invoices
Dunning message2 | as determined by the degree of
Dunning message3 | lateness comparing duedate with date
From To1 | entered.
From To2 | The from to values indicates a range
From To3 | for each message.
Dept (I) The department code used to record
transactions in the Trial Balance
GLpath (I) Directory name where QUE GL resides.
b) Operations
The same keystrokes and navigation instructions used for
the other tables in the MT function are applicable here.
This function is password protected.
Integration
This section highlights how the Accounts Receivable (AR)
module interfaces with the General Ledger and what must be
done to assure a smooth integration.
Accounts Receivable Requirements
When integrated, the Chart of Accounts and Source Code
tables used in the General Ledger are used in the AR module
accordingly. Certain values must be placed in the AR setup
record for each company used in the GL. These include the
period dates and Company identifiers as defined in the ST
System file of the General Ledger.
When transactions are added, deleted or modified in AR, the
balances in the GL Trial Balance are dynamically updated just
as they are when transactions are entered in the ET function
of the GL module. The accounts affected include the Accounts
Receivable entry from the source code table (INV) and each
individual sales account entered as invoice line items.
The End of Period function in the GL, uses the AR Path set
up in the ST System file to find AR. If the system detects the
existance of AR files, it notifies the AR module that an End
of Period has been performed in the GL. Upon next sign-on
process to the AR system, the AR End of Period function is
automatically invoked to assure congruency between the GL and
AR modules.
a) Operations
Select the AR Setup function from the MT menu and enter the
information as described above for all fields with an (I)
following the field column heading.
GL directory the directory where Gl is stored.
Department the department to be used for AR
updates to the GL Trial Balance.
All AR and Sales records are attributed
to one department.
General Ledger Requirements
The GL requires the pathname of all satellite systems to be
included in the ST Setup table.
If Inventory depletion is be used, the Range file under ST
must contain an entry for Inventory (Type I). (See Inventory
interface below)
There may be some required adjustments needed to the Chart
of Accounts and Source Code tables to properly reflect
Accounts Receivable. Ususally additional accounts are added to
the Chart of Accounts to reflect Inventory Sales.
a) Operations
Select the System file under the ST option off of the Main
menu and enter the directory path for AR. If left blank the
files for AR will be assumed to be in the same directory as
GL.
Select the Range file under the ST option off of the main
menu and enter the range of Inventory Sale account numbers.
Inventory Interface
When the General Ledger Range file has a value for Type =
'I', it indicates your desire to use the inventory interface
portion of the Accounts Receivable module.
The Inventory interface at this time simply checks inventory
levels against the inventory master file and adds and
subtracts inventory quantities to the Qty on Hand total when
it has been detected that an Inventory Sale has been
conducted, as determined by using an account number within the
range defined in the ST Range file of the General Ledger.
The QTY on Hand may also be affected through the F4
Adjustment function. It is not affected through the deletion
of Invoices as a whole or for an entire customer.
This system does not record the accounting transaction for
Cost of Goods Sold. This, as well as Inventory Valuation, are
inherent to an Inventory system.
a) Operations
To set up Inventory interface
Go to ST Setup function in QUE General Ledger
Select Range File and add an entry for Inventory (Type I)
Range Start End
I 4200 4229
The Start and End values represent the range of Inventory
Sales codes in the Chart of Accounts. This range is used when
detail line items are added to detect whether or not the
Account represents Inventory Sales.
b) Additional functions
The Inventory interface activates the Inventory File in the
MT function and the Inventory Report on the RP Report Menu.
The MT menu allows entry of Quantity on Hand, Preferred
Vendor, and Quantity Reorder points for individual products.
During the production of an invoice the quantity field on
each line item is depleted from the Quantity on Hand in the
Inventory file. In the case of returns (positive figure) it is
added.
The Inventory report can be used to print all inventory
records, or those inventory items with Quantity on Hands
values close to their Reorder Points (as determined by the
value entered at prompt).
Although the Inventory Report shows balances only, the
Product Report can be used to see the actual transactions by
selecting the Inventory Sale range desired.
** The Accounts Payable has the same Inventory Interface
capabilities, but is usually used to record purchases for
resale.
Inventory Module (future notes)
(Not included in this Version 2.0)
The Account field represents the Cost of Goods Account
number to be used in the offsetting transactions. For example
a sale of 100 boxes of computer paper would constitute the
following accounting transaction:
Accounts Receivable 200
Inventory Sales 200
Cost of Goods Sold 160
Inventory Asset 160
NOTE : The Cost of Goods sold is recorded at cost as extracted
from the Inventory file and entered at the time of initial
setup. The difference between the Gross sales amount and this
cost represents the profit on the recorded sale. Since the Net
Income figure is determined at the time of printing of the
balance sheet, no debit is made to Retained Earnings at this
time.
QUE ACCOUNTING SYSTEM
USEFUL DOS COMMANDS
Command Description
CTRL S These two keys when pressed together will
pause the present activity. It will stop
screen scrolling and halt the printer. A
likely use would be to change the printer's
paper when jammed. Hitting CTRL S again will
resume activity.
CTRL ALT DEL These three keys when hit together will
"reboot" the system. Rebooting is similar to
turning the machine off and back on. This is
a good command to try only when the computer
seems hung and no input is accepted from the
keyboard.
SHIFT PRTSC These two keys allows us to print whatever is
on the screen. It may be useful in recording
error messages or displaying data not readily
available on reports. For instance printing a
single master file record.
CHKDSK /F Used to check the memory available for use
and the amount of diskspace. The /F parameter
is used to rebuild bad file allocations.
FORMAT Used to ready a diskette for copying during
the backup procedure.
QUE ACCOUNTING SYSTEM
USEFUL Keystrokes
Cursor Movement
The cursor, a flashing minus sign, may be moved through the use
of the four directional keys on the right hand side of the
keyboard. The upper arrow is used to return back to the
preceding field. The down arrow or the RETURN key are used to
move on to the next field. The right and left arrows move the
cursor one space in the corresponding direction.
Vendor PE
Invoice test12
Date 12/31/87
For instance, if the cursor was sitting on the eight of the date
field, hitting the up arrow twice would move it to the Vendor
field. If I wanted to move it only to the beginning of date, I
would hit the left arrow 4 times, since the "/" are fixed and not
considered part of the data.
Any field where the last character entered fills up the display,
the computer will automatically assume the entry is finished and
will continue onto the next field. In the case of most menu
selections, therefore, hitting return after a selection is not
necessary.
Screen Function Keys
While processing data on a data screen, certain key combination
can be used to facilitate the process. Intuitively, moving the
cursor key with the arrows, as described above and pressing the
DEL and INS keys will get the job done and may be all that is
necessary. However, there are advantages to using the keystrokes
listed below:
CTRL A Moves the cursor a Word to the left.
CTRL F Moves the cursor a Word to the right.
CTRL Home Moves the cursor to the top of the screen.
CTRL END Moves the cursor to the bottom of the screen.
CTRL T Deletes the word to the right of the cursor.
CTRL Y Deletes from the cursor position to the end of
the field.
CTRL U Restore the current field to its original
value, as long as you did not exit the field.
CTRL U Terminate the current process, saving all
changes made including the current field.
ESC Terminate current process, saving all changes
but those made to the current field.
QUE Accounting
Copyright (c) 1989,1990
DISCLAIMER
The QUE Accounting series is a well prepared
and tested series of Accounting programs.
QUE Accounting makes no expressed or implied
warranty of any kind in regards to the
programs and documentation. In no event
will QUE Accounting be liable for
damages incurred due to incidental use of
these programs. QUE Accounting reserves the
right to modify the programs and documentation
as deemed necessary without any obligation of
notifying any persons or organizations.
QUE Accounting
Suite 180
1450 West Chester Pike
West Chester, PA 19382
QUE ACCOUNTING
FUNCTION KEYS ASSIGNMENT
Generally, the following keys are assigned
within each module.
F1 - Help key to Help Database
F6 - Pop Up calculator
F10 - Window to the Appropriate Master file
ESC - To abort out of a process or menu.
Chapter 5
Other Functions
RW Query and Report Writer
The RW Query and Report writer function is a powerful utility to
select information upon complex condtions set with 'easy to
follow' instructions. It can even be used to access files outside
the QUE Accounting series or programs.
Description
The popup window style access allows you to select files, set
relations between files and to select the fields to appear on the
output. The output may be directed to either a table format on
the screen or a report.
Chosing Files
When you first enter the program, a listing of files in the
current directory are displayed. Highlight the desired file(s)
and press F10 to continue to the next phase.
Making Relations
When more than one file is selected, the first file chosen is
considered the parent and a relation must be set between it and
its children( subsequent files).
To relate files select the field in the parent by highlighting it
and pressing enter. Select the corresponding field in the child
file.
eg. Soc Sec Num relates to Soc Sec Num
Press F10 when complete.
Select, Sorted by and Where
This section tells the computer what data is to be selected and
in what sequence.
Select the fields from the files and press F10 when complete.
Sort the fields in the order in which you would like to see
them displayed by selecting them in the sort sequence.
eg. Lastname Firstname
The Where section uses boolean algebra and range values to
create a subset of data.
eg. State='PA' .and. Lastname>'MAAA' .or. rate>100.00
Screen or Printer Output
The selected information automatically goes to a table display
but may be redirected to a printer.
Printed reports may include one or more of the following:
report headings
subtotaling
summation
averaging
maximum and minimun values
margins
page widths and lengths
The math functions are also available while in the screen mode.
Saving the Query
The selected boolean criteria may be saved for future reference
by pressing the F6 key and entering in the brief description.
Saved queries may be accessed and executed at any time
eliminating the need of having to rekey in the selection
criteria. Each time executed the latest data is read from the
files.
An example of a typical output screen appears below
╔═════════╗
║Filelist ║
╚═════════╝
General Ledger
MEMFILE Company Setup file
GLMAS Chart of Accounts
GLTRANS General Ledger Transactions
GLBATCH General Ledger Transaction Batch Headers
TBDEPT Trial Balance
DEPTMAS Department Master
SOURCE Source Code table
RETRANS Repeating entries
SYSFILE Account range file
GLHIST General Ledger Transaction History
Accounts Receivable
ARMEM AR Setup
ARHEAD Invoice Headers
ARDETL Invoice Line Items
PRODUCT Inventory file
ARMAS Customer master records
╔════════════╗
║Utility Menu║
╚════════════╝
┌──────────────────────────────────────────────────────────┐
│09:51:48 Accounts Receivable 02/24/90 │
│Company-> ABC Utility Menu Period: 7│
│ │
│F1 Help ESC Exit F6 Calculator F10 Window │
│ ┌────────────────────────┐ │
│ │QUIT return to MAIN MENU│ │
│ │ │ │
│ │BU. Backup files │ │
│ │RS. Restore from Backups│ │
│ │IX. Reindex files │ │
│ └────────────────────────┘ │
└──────────────────────────────────────────────────────────┘
Description
The utility menu includes miscellaneous functions and those
outside the normal realm of operations. They are however very
important elements of the system.
Backup / Restore / Reindex
The first three options on the menu prime responsibility is
recovering from hardware and unexpected system malfunctions.
The Backup feature copies the system files to backup diskettes.
So that in the case of an emergency they may be used to restore
the system back to the point in time the copy was made. It is a
good idea to perform this operation periodically based on a
specific event such as after the close of a period.
The Restore function is selected to perform the restoration of
files back onto the system. Diskettes must be saved using the
backup feature of this system in order to perform a restore.
The Reindexing utility is called automatically by the end of
period process but may be called more frequently. It recreates
your file linkages and cleans up any unused space reserved by
deleted records. It is usually the first recourse when
experiencing index problems as may be noted by missing or out of
sequence data.
The simple on screen instructions will guide you through the
operations.
NOTEPAD (optional)
Description
The NOTEPAD is a handy, mini word processor that will meet most
of your word processing needs. It works most effectively with
memo and letters but may be used to access larger documents.
Like many word processors it is limited by the size of available
memory. Most typical users (640K) will not have a problem.
However, it s a good precautionary measure to periodically save
your file as you are typing.
Operations
The NOTEPAD option may be activated from the menu or by pressing
the F9 key from within other designated functions.The following
keys are active within the NOTEPAD window.
Alt-A (A)ppend a file to current file and continue
Alt-B (B) place a block marker
Alt-F Insert a field from a database
Alt-G (G)oto line number
Alt-H (H)elp screen
Alt-I (I)nsert line
Alt-K (K)ill current line
Alt-L page (L)ength for printing
Alt-M change (M)argins
Alt-N edit (N)ew file
Alt-P (P)rint file
Alt-Q (Q)uit but save edits
Alt-R search and (R)eplace
Alt-S (S)ave file & continue
Alt-T (T)oggle wordwrap on/off
Alt-W (W)rite to new file
Alt-X e(X)it without saving
Alt-Y change director(Y)/wildcard
FUNCTIONS:
EDIT WINDOW/STATUS LINE: when you enter the notepad, the edit
window takes up nearly the full screen. There is a status line
at the bottom, which displays the name of the file being edited,
the current line and column position of the cursor, the left and
right margins, and the status of wordwrap and insert modes
(displayed when active as "<Wrap>" and "<Ins>", respectively.)
When a file has been edited, an asterisk will appear at the right
side of the top row (next to the "Alt-H=Help" message).
CURRENT DIRECTORY/WILDCARD - the notepad gives you the ability to
change the working directory and/or filemask at any time. When
you first enter the notepad, the current directory will be set to
the default DOS directory, and the wildcard will be set to '*.*'.
If you would like to change either the directory where the
notepad looks for files or the wildcard used (e.g., "*.TXT",
"*.PRG"), press Alt-Y and enter the new information. You do not
have to enter slashes in front or back of the directory name
UNLESS you include a wildcard. For example, to change the
current directory to "\ACCT\", you need only enter "ACCT".
However, if you want the notepad to look for all the .TXT files
in subdirectory \ACCT\, you must enter "\ACCT\*.TXT".
If you enter just the wildcard, the current directory will remain
unchanged. If you enter a directory name only, the wildcard will
be reset to "*.*". If you press Enter without typing in
anything, neither the current directory nor the wildcard will be
changed.
Examples: let's assume that your application is in a subdirectory
named \WORKSTUF. The initial current directory/wildcard will be
set to "\WORKSTUF\*.*". If you press Alt-Y and enter "*.TXT
<CR>", the directory/wildcard will be changed to
"\WORKSTUF\*.TXT". If you wish to change to the ACCT
subdirectory, press Alt-Y and enter "\ACCT <CR>". The
directory/wildcard will then be changed to "\ACCT\*.*". Suppose
you then want to look at only the .TXT files starting with the
letter P in the directory \ACCT You would press Alt-Y again, and
enter "\ACCT\P*.TXT".
FILENAMES: when you press Alt-N to edit a new file or Alt-W to
write to another file, a scrolling window will appear containing
all files that match the current directory and wildcard mask.
The directory and wildcard mask will be shown at the top of this
window for reference. Note that files with the following
extensions will not appear in this directory, based on the
assumption that there should be no need to edit binary files:
.EXE .COM .DBF .NTX .DBT .NDX .OBJ.
To select a file, move the highlight bar to it and press Enter.
Also note by pressing a letter key, the first file starting with
that value is highlighted. PgUp, PgDn, Home and End keys are also
available.
INSERT and WORDWRAP: the start-up values for these modes is on.
They may toggled off and on at any time by pressing Insert and
Alt-W, respectively. The status of these modes appears at the
right side of the status line. Additionally, the cursor size
will change from large (insert) to small (overwrite) based on the
current mode.
MARGINS: the start-up margins are 1 and 80. However, you may
change these margins at any time by pressing Alt-M and entering
the desired values. When you change the margins, the on-screen
display will adjust to reflect the new margins. You may use
larger values for the right margin than would appear on the
80-column screen. In such instances, you should toggle wordwrap
off and scroll to the right to display text beyond the on-screen
right margin. The current values of the margins appear on the
status line.
PAGE LENGTH: the start-up page length for printing is 60 lines.
You can change this at any time by pressing Alt-L.
SEARCH AND REPLACE: you can search and replace for all or for
only a specific number of occurrences of a character string.
When you press Alt-R, you will be prompted first to enter the
search string, then the replacement string. You will then be
asked if you want to replace all occurrences of the search
string. If you answer 'N', you will be prompted to enter the
number of occurrences to replace.
Please note that the search begins at the top of the file and
continues either to the end of the file or until the specified
number of occurrences have been replaced.
PRINTING: you may print the current file at any time by pressing
Alt-P. Printing may be aborted at any time by pressing Esc. The
format of the printed page is determined by the current settings
of the margins and page length.
BLOCK COPY used to highlight a block of text to be copied moved
or deleted. Alt-B both starts and stops the block marking. A
third Alt-B brings up the function window.
FIELD INSERTION used to bring in fields from a database. The
selected fields will be printed in the body of the letter.
CALCULATOR:(optional)
Description
This is a useful calculator that includes all the basic
operators: addition (+), subtraction (-), multiplication (*), and
division (/).
But it also has some other goodies, including exponentation (^),
a percentage(%), a paste function and a full-featured memory.
Plus, whenever you press an operator ('+', '-', '*', '/', or
'^'), the previous number is shown above the display window.
This is handy for when you are processing a list of numbers and
forget where you were. Also the calculator can be moved around
the screen using the directional arrow keys.
The maximum value that can be stored in the calculator is
99,999,999,999.9999.
Operations
Active Keys:
'+' -- addition '-' -- subtraction
'*' -- multiplication '/' -- division
'^' -- exponentation 'C' -- clear
'%' -- Percentage current number
'E' -- clear entry (does not clear previously
entered number in pending operation)
'P' -- print (adding machine mode) 'M' -- Memory
operations
'=' or Enter -- process operation Esc -- exit
Calculator
'D' -- change the number of decimal options
'R' -- round the numbers to a specified number pf places
Calculator movement keys:
UpArrow -- move calculator up one row
DnArrow -- move calculator down one row
LtArrow -- move calculator left one column
RtArrow -- move calculator right one column
Ctrl-LtArrow -- move calculator to far left (rows
unchanged)
Ctrl-RtArrow -- move calculator to far right (rows
unchanged)
Home -- move calculator to top left corner
End -- move calculator to bottom right corner
PgUp -- move calculator to top row (columns
unchanged)
PgDn -- move calculator to bottom row (columns
unchanged)
Memory Functions:
To access memory functions, press "M", then one of the flashing
function keys. The function keys are:
'R' -- recall number stored in memory
'C' -- clear memory (reset to zero)
'+' -- add current number to number stored in memory
'-' -- subtract current number from number stored in
memory
'*' -- multiply number stored in memory by current number
'/' -- divide number stored in memory by current number
PASTE function
The paste function enables you to paste the current calculator
value into a numeric field while adding or changing records in a
file.
However, erratic results may occur if the number of decimal
places in the number to be pasted is larger than the number
of decimals of the field described in your file. For example,
suppose that you have just used the calculator to derive the
result 75.2877. You wish to paste this number into an amount
field on the screen prior to popping up the calculator. If the
field is only 2 decimal places than the probability is strong
that this number will be stored on-screen as 75.29 (although
internally it will remain 75.2877).
PRINT - Adding machine mode
By pushing "P" for Print, the calculator emulates an adding
machine.This will be noted by a small "P" to the right of the
number window. Each calculation will be sent to the printer (if
it is on-line). After all, if you have invested several thousand
dollars in PC hardware (and software), why bother spending more
money on a ten-key adding machine? Press "P" again to leave
adding machine mode.
QUE ACCOUNTING
Accounts Receivable Installation
For the system to function properly, it must be installed on a
hard drive. The specific requirements are listed below. Note
some adjustments may be required of DOS configuration files.
HARDWARE
QUE requires :
- 640K MEMORY
- 1,000,000 BYTES FREE on hard disk *
- a floppy drive used for installation
SOFTWARE
- CONFIG.SYS - needs to have FILES=25 and a BUFFERS=16
- Must be installed on C or D drive. To install to other
drives the knowledgeable person can change the INSTALL bat
files.
The directory structure created during installation is the value
entered at the command:
eg A:INSTALL QUEAR
where QUEAR is the name of the directory to be created
In case this directory is already used for another application,
no files or programs will be overwritten and no harm should come
to that system. However removing the other system to a separate
directory, is advised.
PROCEDURE
The system comes with 1 diskette. To install the system insert
the diskette into drive A and type in
C> A:INSTALL QUEAR
To install from another drive(example B), change the INSTALL.BAT
file to read B: in all places where A: is found or type in the
following commands:
C> MD QUEAR
C> CD QUEAR
C> B:PKUNZIP -O B:QUEAR
The documentation may be viewed on line or printed out by typeing
the following command. Note the manual is segregated into several
sections following the Main Menu structure.
PRINTDOC
You are now ready to start. Please do the following:
C:
CD\
C> CD QUEAR
C> ARMUC
Enter "AAA" for COMPANY and "test" for PASSWORD and then go to
the UT Menu and select the REINDEX option in order to create the
index files. If you don't do this step, the system will not work.
QUE ACCOUNTING June 1990
Order Form
Price Qty
QUE Accounting General Ledger $ 45 ____
QUE Accounting Accounts Payable $ 45 ____
QUE Accounting Accounts Receivable $ 45 ____
QUE Accounting Payroll $ 45 ____
QUE Accounting Query / Report $ 10 ____ **
Writer, Notepad and Calculator
All modules above may be purchased together for the reduced
price of $145.00.
QUE Time and Attendance $135 ____
Query and Report Writer
Printed Manual $10 ____
(for each function)
** Must be included with purchase of another module.
Mail Order and check payment to:
QUE Accounting
Suite 180
1450 West Chester Pike
West Chester, PA 19382
Volume in drive A has no label
Directory of A:\
PKUNZIP EXE 22022 10-01-89 1:02a
QUEAR ZIP 220940 9-14-90 10:16a
INSTALL BAT 37 8-04-90 11:47a
GO BAT 38 12-17-90 3:57p
FILE2496 TXT 2966 10-10-90 1:51p
INSTALL TXT 1957 8-04-90 10:49a
0D33221F 0 10-10-90 1:51p
0D332246 1956 10-10-90 1:51p
8 file(s) 249916 bytes
69632 bytes free