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:

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.

 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