SQLAccountWorkBook 5
SQLAccountWorkBook 5
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SQL Account Workbook 1
Contents
Create New Database..................................................................................................3
Setup Financial Start Period in SQL Account...............................................................4
Maintain Company Profile............................................................................................4
Task A : Chart of Account.............................................................................................5
Task B : Trade Debtors / Customers Maintenance......................................................6
Task C : Trade Creditors / Suppliers Maintenance......................................................7
Task D : Stock Group & Maintain Stock Item...............................................................7
D1 : Maintain Stock Group........................................................................................7
D2: Maintain Stock Item............................................................................................8
Task E : Opening Balance............................................................................................8
Task F: Daily Transactions in Daily Basis Task ........................................................11
Task G : Backup & Folder.........................................................................................19
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SQL Account Workbook 1
Mate Paper Supplies Sdn Bhd (Company Reg. No. 122533668794) is an office supply
company in Setia Alam. They bought & start using SQL Financial Accounting Software to
computerize their account from 1st of Jan 20YY.
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SQL Account Workbook 1
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SQL Account Workbook 1
GL Maintain Account
Maintain following accounts at chart of accounts:
Note : please read the remark column before create the following account
A/C Type A/C A/C Description Special Remark
Code Type A/C
Fixed 200-500 Land & Building -
Assets
Fixed 200-505 Accum Deprn – Land Accumulated -
Assets & Building Deprn. Acc
Current 310-001 Maybank Bank *Create this
Assets Account account under
Cash 310-000
Current 451-000 Interest Payable -
Liabilities
Current 452-000 EIS - Staff
Liabilities
Sales 500-000 Sales of Finished *Replace 500-000
Goods to Sales of Finished
Good
Sales 500-001 Sales of Semi- -
Finished Goods
Sales 500-002 Other Sales -
Cost Of 610-000 Purchases of Raw *Replace 610-000
Goods Material to Purchases of
Sold Raw Material
Cost Of 610-001 Purchase of Semi- -
Goods Finished Goods
Sold
Cost of 610-002 Other Purchases -
Goods
Sold
Expenses 925-000 EIS - Employer
Expenses 926-000 Legal & Professional -
Fees
Expenses 927-000 First Aid Kit & -
Medicine Supplies
Other 531-000 Rental Income -
Income
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SQL Account Workbook 1
Note :
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SQL Account Workbook 1
Note : please assign FIFO costing method for all stock group.
Code Description Sales S/Rtrn C/Sales Purchase C/Purchase P/Rtrn
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GL Maintain Opening Balance Trade Debtor Select your Debtor & click on Debit
Column, & select Open Customer Invoice.
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E2: Statement Report given by Trade Creditors.
Below is detail outstanding statement from Eco Sungai Buloh Trading as at 31/12/20XX.
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SQL Account Workbook 1
GL Maintain Opening Balance & Enter the Opening balances as following:
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Both quotations immediately confirmed, please fully transfer both quotation to Invoice as
date same with quotation date.
F-2 : Received a Payment Voucher & cheque from Debtor (ABC Stationery Shop) send by
courier. Please record this into customer payment & knock off accordingly.
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SQL Account Workbook 1
F-3: Issue a Cash Sales for walk in Customer as below :
F-4 : Ms.Yao is the purchasing department, she helps to order some item as below :
i.
Doc No Doc Date Supplier Description
PO-00001 15/02/20YY Pentel Malaysia 2000 units of Silver Blade
@ RM 0.80
4000 units of 2B
Sharpener @ RM 0.50
iii. Ms.Yao had called Pentel Malaysia on 01/03/20YY to cancel order the balance of
500 unit from PO-00001. (PC-00001)
iv. Eco Sg. Buloh Trading had sent the order PO-00002 on 30/03/20YY and attached
Invoice together. (GR-00002 & PI-00004)
vi. Account Department has issue Maybank cheque for payment PI-00004 & PI-
00005 on 01/04/20YY, fully knocked off. (PV-00001 & PV-00002)
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SQL Account Workbook 1
F-5 :
i. On 16 Feb 20YY, ABC Stationery Shop send in their purchase order as below:
Doc Date Doc No Customer Item Required
16/02/20Y SO-00001 ABC Stationery A4 Paper – 100 unit @ RM 20
Y Shop (discount 10%)
2B Pencil Sharpener– 100 unit @
RM 1.50 (discount 10%)
ii. Calby, the sales manager order her staff to packing SO-00001 and deliver the
order by 20/02/20YY. However, when packing time, the staff told Calby that 50 of
the 2B Pencil Sharperner packaging spoilt, at last they only able to send 50 units
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of 2B Pencil Sharperner to ABC Stationery Shop and 100 unit of A4 Paper, and
Calby decided to give a free gift to ABC Stationery Shop to make up the
relationship between customer. The free gift they given is 10 unit of 2B Pencil.
Please generate the Delivery Order (DO-00001) as situation above and attached
together with Invoice. (IV-00006) on 20/02/20YY.
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iii. Insert the Sales Cancelled Note for balance from SO-00001 on 28/02/20YY. (CC-
00001)
iv. Fuzion Paper Sdn Bhd requested an urgent deliver. Please issue Delivery Order as
detail below.
Doc No Doc Date Customer Item Required
DO-00002 10/03/20Y Fuzion Paper Sdn Moulded Paper Pulp – 50 unit @
Y Bhd RM250 per unit
2B Pencil – 500 unit @RM 2.10 per
unit
2B Pencil Sharpener – 2000 unit @
RM 1.50 per unit
vii. Unfortunately, the next day, ABC informed that the cheque they bank in forgot to
sign by another director, cheque bounced on 25/03/20YY.
viii. On 27/03/20YY, Fuzion Paper Sdn Bhd online transfer into Maybank RM 16550
fully knocked off IV-00007. (OR-00003)
*Remark “Online Transfer” at cheque no column.
F6 : You received rental income from Mr Wai on 30/03/20YY, kindly maintain an official
receipt in cash book entry:
F-7 : ABC Stationery Shop redo another payment on 01/04/20YY, RM 65,000 by cheque
(PBB 89088) from ABC Stationery Shop and it knocked off the full amount of IV-00001,
IV-00003, IV-00004 and balance partially knocked off IV-00006.
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F-9: Account department received the bank statement from Maybank on 01/04/20YY,
please prepare the bank reconciliation in the system:
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F-10 : A payment made to Pentel Malaysia on 14/05/20YY. Below is a payment voucher
that issued (PV-00003).
F-11 : You withdraw RM 500.00 cash from Maybank for petty cash on 15/05/20YY.
Please issue a Journal Entry to record this transaction. (JV-00001)
Enter Description as Cash Withdrawal and make sure your double entry is Dr. Cash
In Hand & Cr. Maybank
F-12 : On 17/05/20YY, Plus Supply Sdn Bhd called Calby to deliver 100 moulded paper
pulp. (DO-00003)
F-13:
i. Winner Sdn Bhd had delivered 2000 units of 2B Pencil, 500 units of A4 Paper and
1000 units 2B Pencil Sharpener based on your Purchase Order (PO-00003), kindly
issue the Purchase Order and a Goods Received Note (GR-00003) on 18/05/20YY.
ii. Received the Invoice (PI-00006) from Winner Sdn Bhd on 18/05/20YY for GR-
00003.
iii. After store keeper checking, Mr.Muthu realized that there is 20 unit of 2B Pencil
broken, do a purchase returned to Winner Sdn Bhd on 20/05/20YY. (SC-00001)
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F-14 :
i. Fuzion Paper Sdn Bhd request a quotation on 2 June 20YY for 50 unit of silver
blade for sharpener and 10 unit of A4 paper. Ms.Calby the sales manager agreed
to give 5% discount for both item. (QT-00003)
ii. Fuzion Paper Sdn Bhd agreed with the quotation, they request for sending all the
order by 5 June 20YY. May prepare DO-00004 transfer from QT-00003 and
generate Invoice as well.(IV-00008)
iii. On 16 June 20YY, you received a post dated cheque from Fuzion Paper Sdn Bhd,
kindly issue customer payment in your system. This payment is to knock off IV-
00002 and IV-00008.
F-15: Kindly issue a payment voucher for below document & put the date as 30/06/20XX
(PV-00004) and cheque number: MBB 39878
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F-17 : On 01/07/20YY, please fully transfer the Delivery Order into Invoice
F-18 : Ms.Yong helped to buy First Aid Kit from NBC Pharmacy, please issue a payment
voucher to Ms.Yong for her monthly claim expenses on 30/08/20YY.
F-19: On 06/08/20YY, supplier Eco Sg. Buloh Trading agreed to offset the outstanding
balances with the customer Plus Supply Sdn Bhd. Kindly record this transaction in the
system. The knock off document is based on First-in First-out basis. (CT-0001)
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Besides that, create a New Folder with name it as “NAME_StudentID”, and put all report
requested into the folder. Document checking list:
Backup File
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