Contents 

Introduction
Faster Finder
Features And Benefits
Where Do I Start?
Updated Features & Topics
What's New In CAPITAL GL Controller?
Version 7.5
Special
Version 7.4
Entering Journals
Exchange Rate Table
Features And Benefits
General Journal Batches
General Ledger Codes
General Ledger Sets - Concepts
On-line Journal Entries
Multi-Currency Postings
Periods, Balances And Groups
Reporting Functions
Version 7.3
Clean Databases
Clean/Repair Databases
General Ledger Sets - Tutorials
Part 1: Create A New Stock General Ledger Set
Part 2: Assign The Set Code To Your Product
Step By Step Set-Up Guide
Version 7.2
Account Navigator
Clean/Repair Databases
General
Installation
Installing The Program
A Brief Overview
Files
Journals
Reports
Help
Using The Sample Charts Provided
Creating New Company Data
Using Sample Charts With CAPITAL Office
Creating New Data With Capital Office
General Ledger Basics
Assets, Liabilities, Income And Expenses
Assets
Liabilities
Current Liabilities
Retained Earnings
Income
Expenses
Debits And Credits
Financial Reports
Basic Set-Up Procedures
Entering Account Codes
Changing Account Codes
Account Codes
Account Types
Opening Balances
Step 1 - Check Your Financial Year
Step 2 - Notes On Entering Your Opening Balances
Entering Opening Balances
Posting
Printing A Trial Balance
Step By Step Set-Up Guide
The Check-List
General Ledger Sets - Tutorials
Part 1 - Creating General Ledger Sets
Part 2 - Creating Bank Accounts/Cashbooks In CAPITAL Office.
Your First Month's Activity
End Of Period Data Transfers
End Of Period Procedures
Step 1 - Print The Stock Quantities Report
Step 2 - Cashbook Direct Entries
Step 3 - Reconcile The Bank
Step 4 - Running A Bank Statement Report
Step 5 - Unpresented Cheques Lists
Step 6 - Printing Other Reports
Step 7 - Run The General Ledger
Manual General Ledger Mode
Automatic GL (1) - For Chart Of Accounts With Perpetual/Direct Adjustment Stock
Automatic GL (2) - For Chart of Accounts With Opening/Closing Stock
Step 8 - The Stock Journal
Step 9 - GST Reconciliation
Step 10 - Print The Trial Balance
Step 11 - Compare Reports
Step 12 - Print Financial Statements
Connecting To CAPITAL Office
Concepts
Customers And General Ledger
Suppliers And General Ledger
Stock And General Ledger
Advice On Stock Control
Cashbook And General Ledger
General Ledger Sets
The Priority Hierarchy
General Ledger Sets Priority Modes 0 And 1
Automatic Journals
Internal Accounts
A Connection Set-up Check-List
Reference Guide
Account Integrity
Base On Existing Company
Budgets
Budget Calculators
Clean Databases
Clean/Repair Databases
Complete Automatic Repair
Create Company Wizard
Create From Scratch
Delete Company
End Period Wizard
End Of Year Close
Entering Journals
Exchange Rate Table
Financial Formulas
Financial Year Structure
Fix Systems Batch
General
General Journal Batches
General Ledger Codes
General Operation
General Ledger Tools
General Ledger Sets
Journals
Last Year Balances
Locations
Make New System Batches
Multi-Currency Postings
Open Company
On-line Journal Entries
Posting Batches
Printing
Quick Automatic Repair
Set Accounting Period
Special
Standing Journal Tables
Systems Journal Batches
Transfer Expenses
Trouble-shooting Problem Batches
Standard Reports
Audit Trail Listing
Batch Journal Errors
Budgets And Variances
Batch Listings - General/Systems/Standing
Chart List
Financial Formulas
General Ledger Sets - Report
Transaction History
Trial Balance
Report Formulas Technical Guide
The Financial Formula Table
Real Account Groups
Advanced Options
Compound Groups
Tutorial - Creating Sub-account Groupings
Hints & Tips
The Quick Report Writer
Introduction
Testing Quick Reports
The Report Writer/Editor
Introduction
Report Lay-Outs
The Report Body
Periods, Balances And Groups
Report Commands
Reporting Functions
Report Directives
Printing Financial Statements
Security System
Logging On
Master Security
Technical Notes And Trouble Shooting
Technical Notes
Network Installation
Data Files
Why Doesn't My Opening Stock Show On My Profit/Loss Report.
Why Doesn't My Trial Balance Balance?
How Do I Fix A Trial Balance That Doesn't Balance?
I Need To Revalue My Stock. Can I Do A One-sided Journal Entry?
What Do I Do If One Of My Account Codes Displays ??????????????
How Do I Best Deal With Supplier Invoices That Come In Late?
How Do I Consolidate Accounting Information From More Than One Company?
Export Solution 6 MAS 5 Journals
Network is Busy
Sample Reports
Sample 1 - Profit & Loss/Balance Sheet
Sample 2 - Column Profit & Loss/Balance Sheet
Glossary
Glossary

CAPITAL Series 7 GL Controller Reference Guide

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General Journal Batches generate/en74.gif


Use this facility to enter journals by batch and to post batches. To create a new batch press the Add button.

generate/addjourn.jpg

You will be prompted for the following information:

Batch No

The batch number assigned to the batch. The number must be unique; it cannot be the same as any batch currently in general journals or found in the general ledger audit trail. This number is issued automatically by CAPITAL GL Controller. You can override it if you wish by entering a different number. The next number issued for future batches will be the number following the number assigned to the most recently created batch. You will be unable to post a batch that is assigned the same number as a previously posted batch. This rule is enforced to simplify the task of auditing your accounts.

Batch numbers may be up to 9 digits in length and can be of mixed alpha-numeric type. The alphabetic portion of the number must be at the beginning. The following are valid transaction numbers: 1, 931, st2311, adj23011, 99999, test1, openx225. These numbers are invalid: 123b, 12e22, c100c, 99abc.

Period No

The period number identifying the period you wish to post to. The journals entered in a batch must all relate to the same period as that of the batch. If you operate monthly periods and need to enter journals for February and march, you will have to separate your journals into separate batches. To list the available periods typegenerate/look.gif. CAPITAL GL Controller will always default to the period that matches the current system date. You can use the set accounting period facility to change the default period for the current work session.

Control Amount

This represents the total of either all debit or all credit transactions that should be entered. Enter an amount here if you already know the total that your journals should add up to. For example, the total you have banked. If the control total does not match the debit or credit total CAPITAL will warn you. You may post batches that do not have a balanced control amount, but the posting process will warn you of this situation and will ask you to confirm the posting.

Description

The main description or title of the batch. Naming your batches is optional but highly recommended.

Reference

 An additional reference or secondary description for the batch. This field is optional.

Entered by

The operator who created the batch. This is optional.

Contra Account

A contra account can save you time if you must enter a series of journals that all offset against another account.

For example, if you are recording a series of expenses that are paid with funds coming out of your bank account, then the contra account could be specified as the bank account. As you entered journals CAPITAL would automatically balance the journal for you by updating the debit or credit amount of the first entry of the batch.

generate/notepad.gifWhen using a contra account you cannot directly edit the first journal's debit or credit value. CAPITAL GL Controller will do this for you automatically so that the total batch balances.

Created

 The date the batch was created. This will default to the current system date.

Year

The financial year that this batch relates to. This field is updated automatically and cannot be manually overridden. Batches are always created for the currently open financial year. You cannot post a batch that was created in a financial year that is different from the currently selected financial year.

Last update

Automatically updated by CAPITAL, this field will be blank if the creation and last update dates are the same which is the case when a new batch is entered. Otherwise the date of the last change made to the batch is stored here.

Total entries

The total number of journals entered in the batch. This field is calculated automatically and cannot be edited.

Total credits

The total value of all credits entered.

Total debits

The total value of all debits entered. This field is calculated automatically and cannot be edited.

Once batch details have been entered the journal entries screen appears.

Editing a batch

Click edit to edit the currently highlighted batch. You can edit both the batch details and the journals in a batch as many times as you wish for new batches. If a batch has been posted you will be warned of this and will only be allowed to inspect the contents of the batch without making changes. If you need to edit and post the batch again, reverse post it first, then you can edit it and repost..

Deleting a batch

Click delete to delete the currently highlighted batch. You will be warned if you have not printed the batch (or the latest version of the batch) on a report. You will still be permitted to delete the batch if you wish.

Finding batches

Used to locate a particular batch, by batch number, period number or name. Fields for matching include:

Batch No

Enter the batch number to locate or press [enter] to move to the next field to search on.

Period No

Enter the period number to locate or press [enter] to move to the next field to search on.

Description

Enter the description or the first few letters of the description of the batch to locate.

Marking batches

Batch marking is used to select a group of batches for posting or transferring to standing journals. Highlight the batch you wish to include (if not already marked) and click mark. Clicking mark again will toggle or deselect the batch. When a batch is marked a 'tick' will appear in the column that appears before the batch number.

Copying

Used to transfer a batch or a group of marked batches to standing journals. You may either copy the currently highlighted batch or all marked batches.

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Related Topics:

Entering Journals

On-Line Journal Entries

Posting Batches