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Setup Steps in Sequence—Simplified
Setup
To ensure a smooth and successful setup, we recommend
that you do the following before starting to enter data to set up your
system:
- Review
this topic for an understanding of the scope involved and the recommended
sequence of setup steps. The
Setup Steps and Menu Selections table, below, provide a slightly different
view of the setup process. Both show steps in recommended setup order.
- Review
supporting documentation for each setup item. Topics on concepts,
effect of policies, and/or field lists are available as supporting documentation,
grouped in folders by AMSI Evolution
Suite menu item.
- Print
and then complete questionnaires ("Setup Questions") for each
setup item (optional).
Questionnaires are located in folders
with the supporting documentation. If you do not write out answers
on the questionnaire, then:
- Have
the questionnaires available for reference (optional).
Note
In instances where a system has been converted, most
of the data for your setup may already be in your system.
After you have planned your setup using the strategies
above, you are ready to start entering data into the system. We suggest
that you follow the numbered tasks detailed below in Setup Steps and refer
to the accompanying table, which provides the menu path for each step
as well as additional notes.
Setup Steps
We recommend that you complete these activities in the
order listed.
Note
A red asterisk (*) indicates
a required set up activity.
Policy Setup
The policy set up should be completed prior to adding
any other files to your system.
- Set up global
policies.*
Use your completed global policy questionnaires for reference.
- In the System module,
set up user security access.
- Set up User company
access. *
- Set up Group company
access (optional).
- Confirm that all
users are established in System—Security—Users.
- Set up user
policies*. Use your completed
user policy questionnaire for reference.
Basic Setup
Completing the basic setup is required and can be
done at any time after you have completed the policy setup. The basic
setup allows you to add information to the system that is necessary for
further set up. Frequently, the information you add displays later in
the set up process in drop-down list that allow you to make selections.
- Set up calendars*.
Use your completed calendar questionnaires for reference.
- Set up fiscal
years*.
Use your completed fiscal years questionnaires for reference.
- Complete the initial companies* tabs: General, Addresses, Groups, 1099, Consolidated
(as applicable). These tabs allow you to enter information that must be
set up first. Use your completed questionnaires for reference. Or, if
your data was converted, confirm that your setup is correct.
Note that you do not have the information necessary to complete the
1099 tab at this point in the setup process. During the vendor setup,
you are asked to return to this tab and complete it if you plan to use
1099 reporting features.
- Complete the additional
set of companies*
tabs: Accounts, Addresses, Groups, Banks,
1099, Default Budget. Use your completed questionnaires for reference.
Or, if your data was converted, confirm that your setup is correct.
Note that GL accounts and default budget versions are created later
in the setup process. Therefore, you may not be able to select them at
this time because they may not exist. These instructions include steps
that ask you to return to the Company setup screen and complete missing items when
they become available for selection.
- Set up departments
(optional).
Use your completed departments questionnaires for reference. Or, if
your data was converted, confirm that your setup is correct.
Financial
Setup
Completing the financial setup is required and can
be done at any time after you have completed all of the previous setups.
The financial setup allows you to add information to the system that is
necessary for the processing of financial transactions.
- Set
up GL accounts*.
Use your completed GL accounts questionnaires for reference. Or, if
your data was converted, confirm that your setup is correct.
- Return
to companies*
and add GL accounts for each company.
Add a retained earnings general ledger account and a profit and loss
general ledger account for the summary. Use your completed company tabs
questionnaires for reference.
- Set
up groups (optional).
Use your completed group questionnaires for reference.
Groups are selected when you set up properties; therefore, if you plan
to use them, they need to be set up prior to setting up properties.
- Set
up bank accounts*.
Use your completed bank accounts questionnaires for reference. Or,
if your data was converted, confirm that your setup is correct. Note that
you must be able to complete the GL Accounts tab or the system will not
allow you to save the bank account. You must have companies and general
ledger accounts set up.
- Set
up expense codes*—both accounts
payable and accounts receivable expense codes.
Use your completed expense codes questionnaires for reference. Or,
if your data was converted, confirm that your setup is correct.
- Set
up posting rules*.
Use your completed posting rules questionnaires for reference. Without posting rules, the system fails to function properly.
- Set
up intercompany relationships for intercompany
transactions (optional). Use your completed intercompany questionnaires
for reference.
Vendor Setup
Completing the vendor setup is required and can be
done at any time after you have completed all of the previous setups.
The vendor setup allows you to add information to the system that is necessary
for the processing of accounts payable transactions.
- Set
up allocations (optional).
Use your completed allocations questionnaires for reference.
- Set
up hold codes (optional).
Use your completed hold code questionnaires for reference.
Hold codes are selected when you set up vendors; therefore, if you
plan to use them, they need to be set up prior to setting up vendors.
- Set
up 1099 categories (optional).
Use your completed 1099 category questionnaires for reference.
1099 categories are selected when you set up vendors; therefore, if
you plan to use them, they need to be set up prior to setting up vendors.
If you
plan to use 1099 reporting features, you must set up 1099 categories.
- Set
up groups (optional).
Use your completed group questionnaires for reference.
Groups are selected when you set up vendors; therefore, if you plan
to use them, they need to be set up prior to setting up vendors. If you
plan to use 1099 reporting features, you must set up 1099 property groups.
- Set
up transmitters (optional).
Complete this step only if you plan to use 1099 reporting features.
Use your completed transmitter questionnaires for reference.
- Return
to companies and complete the 1099 tab (optional)
.
Complete this step only if you plan to use 1099 reporting features.
Use your completed company questionnaires for reference.
- Set
up vendors*.
Use your completed vendor questionnaires for reference. Or, if your
data was converted, confirm that your setup is correct.
Customer
Setup
Completing the customer setup is required and can
be done at any time after you have completed all of the previous setups.
The customer setup allows you to add information to the system that is
necessary for the processing of accounts receivable transactions.
- Set
up customers*.
Use your completed customer questionnaires for reference. Or, if your
data was converted, confirm that your setup is correct.
Budget Setup
Completing the budget setup is optional and can be
done at any time after you have completed all of the previous setups.
The budget setup allows you to add information to the system that is necessary
for the processing of budget transactions.
- Set
up budget versions.
Use your completed budget version questionnaires for reference.
- Set
up budgets.
Use your completed budget questionnaires for reference.
Report Setup
Completing the report setup is optional and can be
done at any time after you have completed all of the previous setups.
The report setup allows you to add information to the system that is necessary
for the processing or customizing of reports.
- Set
up report formats.
Use your completed report formats questionnaires for reference.
- Set
up series of reports.
Use your completed series of reports questionnaires for reference.
Final Setup
Steps
Completing the initial entry of a batch (if you are
not generating batches automatically), adding beginning balances, and
making selections for reports are required activities. These activities
can be completed at any time after you have completed the following required
set ups: policy, basic, financial, and vendor. The entry of a batch (if
you are not generating batches automatically) allows you to begin entering
transactions into the system, and to generate transaction-related documents
and reports from the system.
- Did you set up so
that batches are generated automatically?
If you are entering batches manually, you
must create a batch. Go to step 2.
If you are entering batches automatically,
batches already exist. Go to step 3.
- Make the following
selections from the menu:
eFinancials—Batches. Refer to Setup
Batches Tab for more information.
- Enter beginning balances.
Make the following selections from the menu:
eFinancials—General
Ledger—Transactions—Beginning
Balances. Refer to Beginning
Balance Tab for more information.
- Make selections for
reports. Make the following selections from the menu:
eFinancials—Select—Company
Selections. Refer to Select EntitiesCompanies
Tab for more information.
- Make the following
additional selections: Department,
Companies, and Bank
Account.
Note
A red asterisk (*) indicates
a required set up activity.
Menu
|
Menu Selection
|
Notes
|
Policy Setup
|
|
|
Setup—Global
Setup—Policies
|
Global Policies*
|
Be sure to add the Account Mask on the Other
Tab.
|
(System—)Security—Users
|
System Module
|
Be sure to confirm that all users are established in
System—Security—Users before
setting User Policies.
|
Setup—Security_User
Company Access
|
User Company Access
*
|
|
Setup—Security_Group
Company Access
|
Group Company
Access (optional)
|
|
Setup—Global
Setup—Policies
|
User Policies
*
|
|
Basic Setup
|
|
|
Setup—Global
Setup
|
Calendars *
|
|
Setup—Global
Setup
|
Fiscal Years
*
|
|
Setup—GL
Setup
|
Companies *
|
Complete the
companies tabs.
|
Setup—GL
Setup
|
Departments
|
|
Financial Setup
|
|
|
Setup—GL
Setup
|
GL Accounts*
|
Confirm that the Account Mask is set up on the Other
Tab of the Global Policies.
|
Setup—Global
Setup
|
Bank Accounts*
|
Be sure to enter the bank name in the first line of the
bank address. The entry on the first line prints on checks, and that entry
must be the bank name if you are to have that name print on checks.
When adding a property, you assign a default bank, which
assigns that property to that bank.
|
Setup—AP
Setup
Setup—AR
Setup
|
Expense Codes*
|
Set up expense codes for each company.
|
Setup—Common
Setup
|
Posting Rules*
|
Set up posting rules for each company.
|
Setup—GL
Setup
|
GL Intercompany
|
Set up intercompany relationships for intercompany transactions.
|
Vendor Setup
|
|
|
Setup—AP
Setup
|
Allocations
|
|
Setup—AP
Setup
|
Hold Codes
|
|
Setup—AP
Setup
|
1099 Categories
|
Set up to use 1099 reporting features.
|
Setup—Global
Setup
|
Groups
|
Set up 1099 company groups to use 1099 reporting features.
Groups are selected when you set up vendors, so if you
plan to use groups, you can set them up now, prior to setting up vendors.
If you plan to use the 1099 reporting features, set up
1099 company groups.
|
Setup—AP
Setup
|
Transmitters
|
Set up to use 1099 reporting features.
If you plan to use the 1099 reporting features (optional),
return to companies and complete the 1099 tab.
|
Setup—AP
Setup
|
Vendors*
|
|
Customers
|
|
|
Setup—AR
Setup
|
Customers*
|
|
Budgets
|
|
|
Setup—GL
Setup
|
Budget Versions*
|
Set up one as the default version.
|
Setup—GL
Setup
|
Budgets*
|
|
Report Setup
|
|
|
Setup—Reports
|
Report Formats*
|
Prior to setting up formats, print your chart of accounts
so that it is available for account lookups while you set up formats.
|
Setup—Reports
|
Series of Reports
|
|
Miscellaneous Setup
|
|
|
Setup—Global
Setup
|
Zip Codes
|
|
Final Setup Steps
|
|
|
Batches
General Ledger—Transactions—Beginning
Balance
|
Setup Batches
Beginning Balance
|
Refer to the Setup Steps, above, for specific details
on initial entry of a batch (if not generating batches automatically)
and adding beginning balances.
|
See Also
Companies
Overview
Setup
Plan Introduction - Simplified Setup