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Tas Accounts

Course Title: TAS Accounts

Duration: 7 Sessions (3 hours each, once per week)

Next Available Dates: Contact us for details

Overview
This course presumes each candidate has a full working knowledge of accounts practices.

Introduction / Getting Started

  • Installing TAS / Setting a Password
  • Looking at the menus & toolbar options
  • Setting the financial year
  • Backing up and restoring data files

Nominal Account Names & Numbers

  • Viewing and printing the Nominal Account List
  • Nominal Account Ranges (Groupings)
  • Transactions and Double Entry
  • Changing Nominal account names
  • Control Accounts (changing the defaults)
  • Entering Journal Entries (debit/credit)
  • Nominal Activity Reporting (details/graph/activity)

Bank Transactions

  • Entering bank receipts/Making bank payments
  • Saving bank transactions / Bank Reporting

Customers & Suppliers

  • Discussion - customer details & defaults
  • Entering customers details
  • Setting individual credit limits & setting the default nominal codes for accounts
  • Modifying customer details
  • Entering supplier details & setting the default nominal codes
  • Customer/Supplier activity – turnover reporting

Service Invoices

  • Creating a Service Invoice
  • Printing invoices – Checking customers credit limit
  • Updating Ledgers - viewing Update Ledger Report
  • Re-printing invoices

Products & Stock Control

  • Discuss product records & categories
  • Create categories to split products into different groups (for sales analysis only)
  • Adding new products
  • Stock adjustment In/Stock adjustment Out
  • Setting re-order levels
  • Checking stock levels report
  • Product activity reporting

Product Invoices (Selling Stock Items)

  • Creating/Changing product sales invoices
  • Inserting product codes
  • Allowing discounts – various methods
  • Entering customer order details
  • Entering Footer details
  • Accepting payment for the Invoice
  • Printing Invoices/Updating the ledgers

Statements & Customer Receipts

  • Checking outstanding balances
  • Aged Debtors Analysis / Creating a Statement
  • Customer Receipts (automatic allocation)
  • Manual allocation of Customer receipts
  • Allowing discounts
  • Posting Payments On Account

Purchase Invoices

  • Entering the Suppliers details
  • Batch invoices – entering supplier invoices
  • Checking Supplier account balances
  • Making payments to suppliers
  • Printing a Remittance Advice
  • Supplier’s transaction history module

More about Bank Accounts

  • Making Bank transfers
  • Combined payments (posting payments to more than one nominal code)
  • Petty Cash transactions
  • Bank Statement Reconciliation

Recurring Entries

  • Entering Recurring Entries (transactions that are carried out each month)
  • Adding Journal Credits/Debits
  • Processing Recurring Entries
  • Suspend/Deleting Recurring Entries

Prepayments & Accruals

  • Entering Prepayments manually/Using the Wizard
  • Setting up Accruals (when invoiced in arrears)
  • Processing Prepayments & Accruals
  • Checking the Nominal Ledger balances

VAT Return

  • Notes on VAT Returns
  • Producing & Printing the VAT Return
  • Reconciling the VAT transactions
  • Paying the VAT

Financials – Reports & Information

  • The Audit Trail (complete list of every transaction)
  • The Trial Balance (current state of each nominal account)
  • Profit and Loss (shows whether a company is making a profit or loss)
  • Balance Sheet (liabilities report)
  • Other Reports (Aged Creditors/Day Books/Invoice Listing/Bank Payments/Bank Receipts/Supplier Invoices/Product Activity Listings)

 

   

        

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