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Trial Balance
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- Last edited 2 years ago by Gelo
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Contents
Trial Balance
Trial Balance Menu
Trial Balance refers to an overview of balances of the Chart of accounts(Debit and Credit) in a given period(Monthly and Yearly)
Field | Description |
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1. Date Range | gives the user a set of date range on how they will view their Balance Sheet. |
2. Close Period | Refers to a process to verify and adjust the balances of account to produce reports regarding company's financial position on that given period.
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3. Account Code | reference number code for a specific accounting entry for transaction. |
4. Account Name | the account name corresponds to its account code. |
5. Previous Carryforward | Previous Balance to be carryforward for the current Period. |
6. Balance Carryforward | Current Balance to be carry forward to the next Period. |
7. Total Debit | the Total Debit on the specific Account Code.
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8. Total Credit | the Total Credit on the specific Account Code.
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9. Balance for the Period | Current Balance for this current Period(Base from the Total Credit, Total Debit, and Carry forwards on the Trial Balance Sheet) |
10. Closing | list of Balance before closing |
11. Accumulated Balance | Overall balanced on the specific period. |
Closing Period Menu
Field | Description |
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1. Closing Period | The set of period to be closed.
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2. Notes | Any Remarks before closing a Period. |
3. Closing Account | The account to be close in the period. |
Closing Period Breakdown
Field | Description |
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1. Voucher No | the reference number to be assigned once the Period has been closed.
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2. Transaction Date | The assigned month to be closed.
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3. Reference | the reference of the date of book closing for the month.
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4. Notes | any remarks for the closing Period. |
5. Account | Set of Accounts under Income Statement Entries.
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6. Description | Description for the specific Accounts. |
7. Debit | Set of amounts under Debit Accounts. |
8. Credit | Set of Amounts under Credit Accounts. |
Closing a Period(Monthly)
- Under the Main Menu, Click Reports
- Under Reports Menu, Click Trial Balance under Financial Statement Reports
- Click Close Period on the upper right corner of the screen.
- Add notes for additional information then click Save
- Double Check the Statements then click confirm to complete the process
- There will be a confirmation prompt that the process is already saved. If click yes, it would automatically redirect you to Journal Voucher Menu to view the auto generated Journal Voucher.
Closing a Period(Yearly)
Notes:
- If the user reaches the end of a Period (December on the case of Calendar), a modal will pop up right after the user clicks the Confirm button for the Month of December. The Modal will display the Closing Period of January to December with a Closing Account of Retained Earnings
- Add notes if needed
- Click Save
- Double Check the Statements then click confirm to complete the process
- There will be a confirmation prompt that the process is already saved. If click yes, it would automatically redirect you to Journal Voucher Menu to view the auto generated Journal Voucher.
Notes:
- Upon Year-end Closing, All monthly periods on that year will be posted.
- Upon Year-end Closing, You cannot cancel any monthly periods on that year
Modules | |
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Financials | Journal Voucher |
Maintenance | Maintenance | Account Code | Chart of Account |
Reports Module (Reports) | |
Reports | Financial Statement |
Financial Statements | Balance Sheet | Income Statement | General Ledger | General Journal | Trial Balance | Statement of Account | Accounts Receivable Aging | AR Detailed Report | AR Transaction Report Accounts Payable Aging | AP Detailed Report | AP Transaction Report | Cash Position | Check List | Deposit List | Collection Register |