Choice After-The-Fact Accounting�
PC16
$199.95
Quickly and Easily Enter Transaction Dad After The Transaction Has Been Performed!
Choice ATF is designed for FAST and EFFICIENT entry of after the fact checks and deposits and for creating General Journal entries to compile Income Statement, Balance Sheets and other accounting and banking reports.
Fast entry of after-the-fact checks and deposits
Auto-sequence of check numbers for existing default Type of Check
Three Types of Checks for auto-sequence (Computer, Manual, & Other)
Display Running Bank Balance
User selects which field to start data entry on a new transaction (i.e. skip entering check date if all after-the-fact checks/deposits have the same date)
Option to copy the Date, Payee, and/or Memo from previous transaction
Batch posting of after-the-fact checks and deposits
Updated Balance Sheet REport allows user to rename report (i.e. Statement of Assets, Liabilities, & Equity)
Updated Balance Sheet Report allows user to define page breaks
Updated Bank Reconciliation Report to balance to the book's "Current Balance" or "Bank Balance as of Statement Date"
New G/L Transactions function allows user to call up ANY G/L posting, not just General Journal entries
New G/L Adjustments function allows user to create batches of General Journal entries that auto-sequence and has expanded Description
New feature allows user to keep internal notes regarding the various entries made
Batch posting of General Journal entries-Pick and Choose which entries to post
Posting reports for review of General Journal batches prior to posting to G/L
Recurring General Journal entries
Duplicate button for General Journal entries
Downloadable FAQ Announcement List
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