Autocount 2
Autocount 2
Autocount 2
Learning AutoCount Sdn Bhd enjoys 45 days credit term from all suppliers and offers 30 days credit term to
his regular customers. Sometimes deposits will be collected from customers and the deposit can be used to
offset outstanding debts as part of payment received from customers. Excessive deposit will berefunded.
Learning AutoCount Sdn Bhd menikmati tempoh kredit selama 45 hari dari semua pembekal dan menawarkan tempoh kredit 30
hari kepada pelanggan biasanya. Kadang-kala deposit dikutip dari pelanggan dan kemudiannya digunakan sebagai sebahagian
daripada bayaran untuk ofset baki hutang pelanggan tersebut. Deposit berlebihan akan dipulangkan.
PT and NORA are the only salespersons that handling all credit customers.
PT dan Nora adalah jurujual yang menangani semua pelanggan kredit.
Complete the following tasks by using the same account book you have created in Chapter 1.
Habiskan tugasan berikutnya dengan menggunakan buku akaun yang telah anda cipta di Bab 1.
Task 2.1 Sales Agent Maintenance (General Maintenance > Sales Agent Maintenance)
Senggaraan Ejen Jualan (Senggaraan Umum > Senggaraan Ejen Jualan)
PT PAK TARIK
NORA NORA MANIS
Task 2.2 Assigning Agent and Credit Term (Debtor Maintenance; Creditor Maintenance)
Memilih Ejen dan Tempoh Kredit (Senggaraan Penghutang; Senggaraan Pemiutang)
© All
2019Rights Reserved
by Peter Tan, Edited by M.Nazzel
AutoCount Computerized Accounting Course Book 4th Edition
8
Debtor Journal Type Invoice No Date Sales A/C Detail Desc Amount Description
Penghutang Jenis Jurnal No.Invois Tarikh Akaun Jualan Huraian Butiran Amaun Huraian
(To record Sales Return or Discount Given if have Accounting Package only)
Task 2.4 Transaction: A/R Credit Note (A/R Credit Note shortcut icon)
Urusniaga: Nota Kredit A/R (Ikon pintas Nota Kredit A/R)
Record the following Credit Note for goods returned by customer 300-C001
Rekod Nota Kredit mengenai pulangan barangan oleh pelanggan 300-C001
Paym Knockoff
Paym
Debtor Description OR No Date Cheque No Amount Knockoff Date
Method
Penghutang Huraian No.Resit Rasmi Tarikh No Cek Amaun Knockoff Tarikh
Cara Bayaran
Bayaran Knockoff
© All
2019Rights Reserved
by Peter Tan, Edited by M.Nazzel
AutoCount Computerized Accounting Course Book 4th Edition
9
Journal Supplier
Creditor Inv No Date Purchase A/C Detail Desc Amount Description
Type Inv No
Pemiutang No.Invois Tarikh Akaun Belian Huraian Butiran Amaun Huraian
Jenis Jurnal No.IV Pembekal
(To record purchase return or discount received if have Accounting Package ONLY)
Task 2.7 Transaction: A/P Credit Note (A/P Credit Note shortcut icon)
Urusniaga: Nota Kredit A/P (Ikon pintas Nota Kredit A/P)
Record the following Credit Note that received from supplier on goods returned to him, and knock
off the supplier invoice 445566.
Rekod Nota Kredit diterima daripada pembekal mengenai pulangan barangan kepadanya, kemudian knockoff invois pembekal 445566:
Supplier Knockoff
Journal
Creditor CN Type CN No Desc CN No Date Credit A/C Amt Date
Type
Pemiutang Jenis CN No.CN Huraian No.CN Tarikh Akaun Kredit Amaun Tarikh
Jenis Jurnal Pembekal Knockoff
612-0000
400-S001 Incorrect <<New>> 12
PURCHASE RETURN CN-4456 Purchases 150 12 Jan
Supplier A Item PR-000001 Jan
Return
© All
2019Rights Reserved
by Peter Tan, Edited by M.Nazzel
AutoCount Computerized Accounting Course Book 4th Edition
10
Task 2.9 Add New Special Account: Deposit (G/L > Account Maintenance)
Tambah Akaun Khas Baru: Deposit (L/A > Senggaraan Akaun)
Account Account Type Account No. Description Payment Method Journal Type
Akaun Jenis Akaun No Akaun Huraian Cara Bayaran Jenis Jurnal
CUSTOMERS CUSTOMERS
450-0000 BANK
DEPOSIT DEPOSIT
Record the receiving of deposit from Customers: (A/R > A/R Deposit Entry)
Rekod deposit diterima daripada pelanggan: (A/R > Catatan Deposit A/R)
Deposit A/C Debtor A/R Deposit No Date Description Payment Method Payment Amt
Akaun Deposit Penghutang No Deposit A/R Tarikh Huraian Cara Bayaran Amaun Bayaran
CUSTOMERS 300-C001 <<New>> Deposit
25 Jan CIMB-KL 300
DEPOSIT Customer 1 OR-000005 Received
CUSTOMERS 300-C003 <<New>> Deposit
Customer 3 OR-000006
25 Jan CIMB-KL 300
DEPOSIT Received
Use the Deposit amount of Customer 1 to knock off invoice I-000001 (treat as payment
received): (A/R Payment shortcut icon)
Amaun deposit Customer 1 digunakan untuk knockoff invois I-000001 (sebagai bayaran diterima): (Ikon pintas Bayaran A/R)
Knockoff
Debtor Description OR No Date Paym Method Paym Amt Knockoff
Date
Penghutang Huraian No.Resit Rasmi Tarikh Cara Bayaran Amn Bayaran Knockoff
Tarikh Knockoff
Transferred
300-C001 <<New>> 27 CUSTOMERS Invoice 27
From 300
Customer 1 OR-000007 Jan DEPOSIT I-000001 Jan
Deposit
For deposit amount of Customer 3, forfeit half and refund the other half:
(A/R > A/R Deposit Entry, View, Forfeit & Refund)
Bagi deposit Customer 3, separuhnya dirampas dan selainnya dibayarbalik: (A/R > Catatan Deposit A/R, Tonton, Rampas & BayarBalik)
Forfeited AC No Forfeited Amt Forfeit Date Refund Doc No Refund Date Paym Method Paym Amt
No Akaun Rampas Amaun Rampas Tarikh Rampas No Dok BayarBalik Tarikh BayarBalik Cara Bayaran Amaun Bayaran
500-0000
150 30 Jan <<New>> 30 Jan CASH 150
Sales
© All
2019Rights Reserved
by Peter Tan, Edited by M.Nazzel
AutoCount Computerized Accounting Course Book 4th Edition
11
Task 2.11 A/R Statement (A/R > A/R Debtor Statement Report)
Penyata A/R (A/R > Laporan Penyata Penghutang)
Change the amount of CN-000001 (20/01/yyyy) from RM 100 to RM 110.00, then preview the State-
ment again.
Tukar amaun CN-000001 (20/01/yyyy) dari RM 100 ke RM 110, kemudian pratonton semula Penyatanya.
Task 2.12 Returned Cheque (A/R > A/R Receive Payment >Edit)
Cek Dikembalikan (A/R > Terima Bayaran A/R, Edit)
Cheque received from Customer 1 (dated 18-01-yyyy, RHB 123456, RM 2000) is bounced and re-
turned by the bank on 25/01/yyyy. Update the related AR Received Payment (OR-000004).
Cek diterima daripada Customer 1 (bertarikh 18/01/yyyy, RHB 123456, RM 2000) tidak sah dan dipulangkan oleh bank pada
25/01/yyyy. Kemaskini Bayaran A/R yang berkaitan (OR-000004)
Task 2.13 Post Dated Cheque and A/R Statement (A/R > A/R Receive Payment)
Cek Tunda dan Penyata A/R (A/R > Terima Bayaran A/R)
Customer 1 has issued another cheque RHB 123477, RM 2000, dated 05/02/yyyy (to replace
the returned cheque). Record the AR Received Payment (Payment Method = CIMB-KL, knock off
invoice I-000001).
Customer 1 mengeluarkan cek RHB 123477, RM 2000, bertarikh 05/02/yyyy (sebagai gantian cek dikembalikan). Catatkan terima
bayaran A/R dan knockoff invois I-000001)
Backup the account book using Backup Filename: ‘Backup Task 2.14’
Sandar buku akaun, gunakan nama fail sandar: ‘Backup Tsk 2.14’
End of chapter
Tamat bab ini
© All
2019Rights Reserved
by Peter Tan, Edited by M.Nazzel
autocount Computerized Accounting Course Book 4th Edition Lecturer’s Guide 1
Introduction to Chapter 2
Continue from Chapter 1, this chapter introduces entries related to AR module and AP module. Please be
reminded that we are doing AR/AP Invoice entries and AR/AP Credit Note entries here because we are
now using only accounting modules (GL, AR and AP). Later in chapter 5, when Stock, Sales and Purchase
modules are activated, most of invoices and credit notes will created at Sales module and Purchase
module, and entries will be posted to GL, AR and AP modules automatically. This chapter will need 1 to 2
sessions.
End of chapter
Task 2.1 Sales Agent Maintenance Maintain the sales person details to Account Book
At the top menu bar,
go to General Maintenance > Sales Agent Maintenance ,
click New to maintain the following agent, OK..
1 click New
2 key in Sales Agent code
and description
3 OK
End of chapter
1 highlight a
debtor and
click Edit
2 select
Agent and
Credit Term
3 Save
On the listing grid, right click on any column header to open the Column Chooser, drag out the column
of Credit Term... and remove unwanted columns..... Save the layout as default layout.
Show during class
End of chapter
1 select
Account to be debited Debtor
2 define
Date
(account to
be credited)
3 click on ‘+’ to add a row, select Sales A/C,
key in detailed description and amount
4 key in
description
5 Save
2 Search
3 select a document to
copy from
4 OK
End of chapter
(Account to be credited)
Spoilt item
(can key in or leave blank)
(Account to be debited)
I-000002 Original Amount is RM7,000 but after Knock-Off with CN-000001 of RM110,
outstanding amount for I-000002 has been reduced to RM6,890
End of chapter
Task 2.5 Transaction: AR Payment To record payment received from Trade Debtors
At the Debtor Main Screen At the top menu bar
click on A/R Payment shortcut icon (or go to A/R > A/R Receive Payment, click Create a new A/R
Payment)...
select Debtor: 300-C001 key in Description: Payment on account
define Date: 18/01/yyyy select Payment Method: CIMB-KL
Official Receipt No is auto-run according to payment method, showing <<New>>... and observe the
Next Possible No: OR-000004 (next possible no will only show once payment method has been selected)
key in Cheque No: RHB 123456 key in Payment Amount: 2000.00
under Knock-off Invoices section, check the checkbox of invoice I-000001 dated 15/01/yyyy
Knock Off Date is 18/01/yyyy
click Save.
(Account to be credited)
(Account to be debited)
I-000001 Original Amount is RM5,000 but after Knock-Off with this AR Payment of RM2,000
outstanding amount for I-000001 has been reduced to RM3,000
End of chapter
Task 2.6 Transaction: AP Invoice (to record credit purchases when using Accounting Package only)
At Creditor main screen At the top menu bar
click on A/P Invoice shortcut icon (or go to A/P > A/P Invoice Entry, click Create a new A/P Invoice)...
select Creditor: 400-S001
default Journal Type is: Purchase
key in the Supplier’s Invoice No: 445566 the Invoice No will be auto-run (PI-000001)
define Date: 11/01/yyyy
click on ‘+’ button to select Purchase A/C: 610-0000 key in detailed Description: Item 1222
key in Amount: 1,500 key in Description: Purchases
check the checkbox of ‘After save, proceed with new invoice entry’
click Save.
(account to be credited)
(external document no
from supplier)
(account to be debited)
End of chapter
Account to be debited
Internal document no
Account to be credited
Supplier Inv No 445566 original outsatnding amount is RM1,500 but after knock-off against CN-4456,
outstanding amount has reduced to RM1,350
End of chapter
Task 2.8 Transaction: AP Payment (to record payment made to trade creditors)
At Creditor main screen At the top menu bar
click on A/P Payment shortcut icon (or go to A/P > A/P Payment, click Create a new A/P Payment)...
select Creditor: 400-S001 key in Description: Payment on account
define Date: 27/01/yyyy
select Payment Method: CIMB-KL
Payment Voucher No is auto-run according to payment method, showing <<New>>... and observe the
Next Possible No: PV-000004 (next possible no will only appear after payment method has been selected)
key in Cheque No: 220013 (the cheque number is auto-run according to last keyed-in number of this
payment method)
key in Payment Amount: 500.00
under Knock-off Invoices section, check the checkbox of invoice 445566 dated 11/01/yyyy
Knock off Date is 27/01/yyyy
click Save.
(Account to be debited)
(Account to be credited)
End of chapter
Task 2.9 Add New Special Account: Deposit (special account as need to create link with debtor
At the top menu bar and payment methods)
go to G/L > Account Maintenance
click on Bank, Cash, Deposit
select option button of Deposit … Current Liabilities
key in Account No: 450-0000 and Description: Customers Deposit
the Payment Method is auto-filled with ‘Customers Deposit’
define the Journal Type as: Bank
click Save
End of chapter
Task 2.10 Transaction: AR Deposit (to record deposit received from trade debtors)
Deposit Entry
At the top menu bar
go to A/R > A/R Deposit Entry
click on Create a new A/R Deposit
select the Deposit Account: Customers Deposit
select Debtor: 300-C001
define Date: 25/01/yyyy key in description: Deposit received
assign Payment Method: CIMB-KL
key in Payment Amount: 300.00
check the checkbox of ‘After save, proceed with A/R Deposit’
click Save.
Account credited
Account debited
click on Copy A/R Deposit > Copy from other A/R Deposit, click Search, OK..
change the Debtor to 300-C003
Date: 25/01/yyyy
click Save.
account credited
account debited
Account debited
9 summary
2 click View
4 check Forfeited
Deposit 5 select account,
key in amount
account credted and date
1 select
document 6 check Refund Deposit 7 define Refund date
account credited
8 select Payment
Method, key in Amount
3 click Forfeit
& Refund
End of chapter
2 click 4 click
Inquiry Preview
3 click ‘+’ to
expand
click on Preview
select ‘2’ or Debtor Statement-6 Months, OK
click on CN-000001
5 click to
drill down (i.e. finger pointing)
click on Edit
change the Amount to 110.00
under Knock-off Invoices section, uncheck and check again the checkbox of invoice I-000002
click Save
7 change amount
to 110.00
exit the Debtor Statement preview screen (after edit, debtor statement report will not auto refresh)
click on Inquiry to refresh
click on Preview
select ‘2’ or Debtor Statement-6 Months, OK
(the Debtor Statement has been updated)
10 the amount
is changed
End of chapter
3 Save
End of chapter
End of chapter
End of chapter