1. Setup Functional Currency

Go to System Manager > Activities > Company Configuration

2. Setup Account Structure

Go to General Ledger > Setup > Account Structure

3. Setup Segment Account > Primary Accounts

Go to General Ledger > Setup > Segment Accounts


4. Setup Other Segments

Still in Segment Accounts screen






5. Build Accounts

Still in Segment Accounts screen > Click Build button


Should open Build Accounts screen




6. Setup Bank

Go to Cash Management > Maintenance > Banks > Click New button


7. Bank Account

Go to Cash Management > Maintenance > Bank Accounts > Click New button

Enter the following:

8. Setup Company Location

Go to Common Info > Activities > Company Locations


Setup Tab


GL Accounts tab

Enter the following:

9. Enable Override Retained Earnings

Go to System Manager > Activities > Company Configuration

10. Setup Fiscal Year

Go to General Ledger > Maintenance > Fiscal Year > Click New button

Enter the following:


Click Generate button > Should open Generate Period screen > Click OK


Click Set Current Button > Save

11. Setup Company Config > Intra Company Settings
    Due To / Due From (Skip this for the mean time)

12. Create GJ

Go to General Ledger > Activities > General Journals > Click New button

Enter the following

Account IdDebitCredit
11600-0001-1-1100
50010-0001-1-1
100

13. FRD

Go to Financial Report > Maintenance > Financial Report Builder > Click Recalc


Maintenance > Report Templates > Select Balance Sheet


Click Generate button


Should open Report Viewer

14. Import Bank

Cash Management > Maintenance > Banks



   





15. Import Vendors


File: import_Vendors.csv

*Payment Method field not part of import process


16. Import bank from Vendor > EFT Screen




If Bank used in Import file is not existing, error detail is thrown and log is opened.

File: import_eft_information_NewBank.csv




If Bank used in import file is existing, import successful message is shown. User needs to manually close Import ACH/EFT Information from CSV screen.

File: import_eft_information_Vendor001.csv

*File matches entity number from #15 and banks from #14


Bank is populated on the grid.


17. Import Vouchers



File: ImportVouchers.csv