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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Posting Batches


You may post batches from either general journal batches or systems journal batches. Enter one of these operations and highlight the batch you wish to post or use the mark command to mark a series of batches. Click post to invoke the posting menu.

Options include:

Post - the selected batch

Select this option to post the currently highlighted batch.

Post - all not yet posted

Select this option to post all batches that have a status of "new".

Post - batch number range

Select if you wish to specify a start and end batch number range for posting.

Post - in specific period

Select this option if you wish to post all unposted batches for a specified period.

Reverse - the selected batch

If you have posted a batch that contains errors and you wish to "undo" the batch you can post the batch again as a reversal. All "debit" journals will be posted as credits and visa-versa. This will restore the balances in the general ledger master file back to what they contained before the batch was posted.

Posted or new batches can be reverse posted, but a batch marked as "posted" cannot be posted again. Likewise, a batch marked as "reversed" cannot be reverse posted a second time. A reverse posted batch can, however, be re-posted (unreversed). See the following table which lists when batches can and can't be posted.

Posting Rules

1.      New batches can be posted

2.      New batches can be reverse posted

3.      Posted batches can be reverse posted

4.      Posted batches cannot be posted again

5.      Reverse posted batches cannot be reverse posted again

Delete batches after posting

If this option is selected a "tick" will appear next to it. Successfully posted batches will automatically be deleted upon completion of the posting process.

For auditing purposes it is recommended that the contents of batches to be posted are printed for reference purposes before they are deleted from the system.

Normally the general ledger master file is updated periodically, usually at the end of each period. Before postings occur a back-up of your GL data should be made and this back-up kept for reference purposes. If you discover, for example, that posted batches contain a large number of errors after postings, it is a simple matter to restore the prior back-up, correct the batches and re-post.

CAPITAL GL Controller will, of course, also allow you to reverse incorrectly posted batches. However, this approach has the disadvantage that not only will the original (invalid) batch journal entries remain in the audit trail, but all the reversing entries end up there as well. As you can imagine, this makes the task of auditing your accounting records more time consuming.

See following table for suggested guide-lines.

A Guide TO Correcting Entries

1. If only a small number of errors are found, simply create a new batch that contains adjusting entries and post the correction.

2. If an entire batch was incorrectly posted, reverse post the batch. Enter a new batch with the correct entries and post again.

3. If several batches were incorrectly posted it will probably be quicker to restore your prior back-up and start over.

4. If a back-up was not made (this situation should never arise) or the back-up could not be restored for technical reasons, CAPITAL will allow you to create a batch that will reverse the entire period so that you can start over. See this reference guide for more information on reversing periods.

At times CAPITAL GL Controller may be unable to post a batch. Some of the more common reasons for failure to post are listed under the trouble-shooting section. See: Trouble-Shooting Problem Batches.