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Versions |
License |
Selling Price
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PC Standalone Version |
1 PC |
HK$ 1280 |
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Workgroup Version |
3 Users |
HK$ 3080 |
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Network Version
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5 Users |
HK$
6000 |
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From PC version to Workgroup version
From PC version to Network version
From Workgroup version to Network version
Add one user for Workgroup version
Add one user for Network
version
Add one company account (exceed 20 co., a/c)
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+ HK$ 1800
+ HK$ 4720
+ HK$ 2920
+ HK$ 900
+ HK$ 1000
+ HK$ 200
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Service |
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First time free on-site installation
for workgroup and network version (Hong Kong
user only)
Training will be provided at our office (Free and unlimited times within
one year)
Telephone, email, internet support will be provided
(free and
unlimited times within warranty period)
One year warranty, at the expiry of the warranty, you may join our
maintenance service
PC Version HK$600 per year, Workgroup version HK$1800 per year, Network
version HK$3000 per year.
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This accounting package is designed for multi-department company to process
vouchers, print all G/L reports and financial statements. The system is
capable of maintaining ledgers of different companies separately. In
addition, a report generator is provided for user to
define and print customized financial statements and
analytic reports. Statements to customers showing unsettled invoices and
sales purchase analysis report showing gross profit ratio of each
sales confirmation can be generated. Vouchers are
entered as batch of transactions. Audit trails
are implemented by enforcing printing of transaction batches
prior posting and preventing user from editing entries after posting.
The system is equipped with a security protection scheme to
restrict unauthorized user to access the data of the system.
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System function include: |
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1. Financial Year File |
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1. Financial
Year
2. Chart of
Account
3. Vouchers
4. Ledger Enquiry
5. Currency
Revaluation
6. Bank
Reconciliation
7. Budget
Analysis
8. Trial Balance
9. P/L &
B/S
10.User Defined
Reports
11.Pre-Defined Reports
12.A/C Verification
13.Year End Process
14.Password Control




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Maintain separate financial years
Lock periods to prevent unauthorized changes, add new and
delete
Provide backup or purge historical data of specific financial
year.
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2. Chart of
Account |
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7 characters long with 3 segments : group a/c,
control a/c, subsidiary a/c
x - xx - xxxx
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3. Vouchers |
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5 types of vouchers : Sales, Purchase, Receipt,
Payment, Transfer
vouchers.
Multi-department, Multi-currency
Unlimited lines of particulars
Unlimited debit or credit transactions per voucher
Unlimited number of currencies for each voucher
The maximum amount of single entry is 99,999,999.99
2 Reference nos. for cost analysis
Handle multiple invoices for settlement
Maintain vouchers in batch, posted or reversed.
Print check and remittance advice in payment voucher
Audit trails for deleted and reversed vouchers
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4. Ledger
Enquiry |
^ top |
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Browse account transactions and
balances with major currency or other currency within a certain period. Some
sensitive ledger accounts, records, can be hidden by the authorized user.
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5. Foreign
Currency Revaluation |
^ top |
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If the exchange rate of a
specific currency is fluctuated, a new exchange rate is inputted and the
amount of related vouchers will be recalculated and printed out.
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6. Bank
Reconciliation |
^ top |
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Reconcile your monthly bank
statements by selecting and marking the transactions that have cleared.
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7.
Budget Analysis |
^ top |
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Store budget figures of ledger account per month. Compare the actual figure
by showing the amount or percentage difference on the financial reports.
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8. Trial Balance |
^ top |
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The balance of each account as at
a certain month, previous month, year to date can be displayed or printed
out.
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9. P/L Account
& Balance Sheet |
^ top |
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The report formats of the P/L
account and balance sheet statement are specified in the user defined
reports specification file “PL” and “BS” respectively. Users can
change the report format in the function of the user defined report
generator.
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10. User
Defined Reports |
^ top |
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After the vouchers are inputted,
you can extract data from accounts to customize analytic reports
and financial statements according to your needs. The user
defined specification file is divided into three parts,
title, column and row. A report can accommodate
maximum 14 columns and unlimited rows. Each column is specified by
several attributes like account number, name,
balance as current month, nth month, previous month,
a period, year to date, percentage, debit or
credit side, total, etc., There are several row
types such as account numbers range, account level,
blank line, double line, vertical total, page break etc., Formula and
percentage calculation can be applied to the columns' accumulator.
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11. Pre-Defined
Reports |
^ top |
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Some reports are ready made for
the users such as customer statement, mailing label, invoice listing,
expenses reports etc.,
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12. Account
Verification |
^ top |
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This function is to verify the
transactions total of each voucher and check the summation of the balance
of all accounts is zero. Any discrepancy will be reported.
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13. Year End
Processing |
^ top |
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This process includes
calculations of brought forward amount and updating the retained earning
account.
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14. Password
Control |
^ top |
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In order to restrict unauthorized
access of the data of the system, each user should have a valid password to
login to the system. In addition, each user is assigned an
access level (between 1 and 8) to access certain functions of the system.
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