Non-Integration Set Up
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a) | From your Chart of Accounts enter the General Ledger codes for your bank account, GST clearing account and retained earnings account. Your last journal number should be 1.
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b) | Your next invoice and next receipt numbers should be 1. Make sure that the GST inclusive box is tagged and the Prepaid Subs box has your general code in it.
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c) | Ensure that your financial year date is correct, the GST rate is set and the GST basis is set. Enter your bank account number ensuring that you don't use any spaces or lines in it.
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