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AP Posting Cycle

All A/P transactions can be posted from the Accounts Payable Transactions menu. Transactions are posted using a three-step cycle.

1. Enter AP Transactions - Entering transactions consists of typing the information into the computer.

2. Edit AP Transactions - Consists of running a listing called an edit of the transactions.

3 Post AP Transactions - Makes the transactions part of the permanent A/P records.

Voucher Numbers and Line Numbers

Methods of Managing the AP System

Miscellaneous Vendors

What You Need for Posting AP Transactions

Voucher Numbers and Line Numbers

When an A/P invoice is entered into the system a voucher number and line number are automatically assigned by the system. Each company has its own set of voucher numbers so that the system can uniquely identify each transaction.

Most transactions vouchers have only one line number, which are assigned consecutively when necessary. If bills are automatically posted to A/P via the Purchasing Application, the receipt number is used as the voucher number, and line number 9990 is assigned as the line number.

Methods of Managing the A/P System

The A/P system allows you to decide in advance how and when bills are paid. You can base your payment schedule on any of these dates:

Every time you print checks you can chose an alternate method. However, each method depends on the inclusion of certain information when the bills are entered.

Miscellaneous Vendors

Sometimes you need to post bills from a vendor with whom you rarely do business, and you don’t want to establish a permanent Vendor File record. You can identify the vendor as a miscellaneous vendor and enter the vendor’s name and address when you enter the bill. When the vendor’s balance becomes zero, you can purge the record from the system by deleting it. The record is stored in the Miscellaneous Vendor file, and the voucher number assigned to the bill is also assigned as the vendor’s Miscellaneous Vendor Number.

What You Need for Posting A/P Transactions

You must assign a transaction code to each transaction, such as bills and payments, that you enter into the system. You should always have a list of the transaction codes available when posting. To obtain a list of transaction codes, see the A/P Demand Reports Menu (option 3 on the A/P menu).

In addition to the list of transactions codes you need a list of the charts of accounts. You should also know which account numbers and transaction codes to assign to each transaction. There are four accounts to be assigned for every transaction:

Note:  The cash account, cash discount account, and A/P account default account numbers entered in the Company File are automatically entered when you enter transactions. The default expense account number entered in the Vendor File is also automatically entered. This means you only need to know which account numbers to post when overriding these defaults. This manual does not teach these accounting principals in detail. The A/P manager should be responsible for assigning account numbers. To obtain a list of chart of account numbers run the Chart-Of-Accounts Listing found on the A/P Demand Reports Menu, or use the Chart of Accounts Search to see a list on the screen.