PC+ v9. -Check Writing
Posted: Fri Apr 08, 2005 9:48 am
Hello Everyone,
We are an user of V9 using windows 2000 on a network of 6+ computers.
I am very confused over how PC+ "handles" check writing. I have several questions that will help me to understand what is going on:
Tom
2nd Baptist of ypsilanti
We are an user of V9 using windows 2000 on a network of 6+ computers.
I am very confused over how PC+ "handles" check writing. I have several questions that will help me to understand what is going on:
- 1) Once a vendor is set up & the system is marked "pay now", when does the transaction "hit the books"? Is there a way to see the transaction?
2) If I wanted to trace a check posting to an expense account where would I look? I am used to a system that showed the account numbers in the check regester. (We have three accounting funds, with three separate checking accounts, & each fund uses similar income & expense account names).
3) Is there a way to keeping PC+ from combining checks to the same vendor? (It would be nice if this were a function that could be selected by the user). We often have several groups (Youth Choir, Mass Choir, Jr. Ushers, etc.) going to the same event. They each need to present a "gift offering" to say another church's annversary service.
Could we print the checks in batches by turning the "pay now" function on & off to get separate checks to the same vendor?
Tom
2nd Baptist of ypsilanti