Print Page E-mail Page Link

0 Customer Ratings
N/A
APCB Cash Basis
Click to view the help.
Transforms A/P from accrual basis to cash basis. Invoices are expensed only when a check is entered and updated. G/L expense accounts can be included on the remittance stub. New reports print open invoices with G/L expense account distributions.
Compatible With: Sage 100 ERP [MAS 90 and 200], Versions 3.71 , 4.0 , 4.05 , 4.1 , 4.2 , 4.3
Created by:

SRP (incl 1st yr maint) $1,830
SRP Maintenance $ 660


DetailsProduct SpecificationReviews

APCB Accounts Payable Cash Basis transforms A/P from accrual basis to cash basis. Invoices are expensed only when a check is entered and updated. G/L expense accounts can be included on the remittance stub. New reports print open invoices with G/L expense account distributions, and a check register sorted by expense account.

Part of the Cash Basis family, which also includes ARCB Accounts Receivable Cash Basis and TBCB Time and Billing Cash Basis.

If a company is operating on a cash basis, General Ledger postings are not made when the Invoice Journal is updated. Instead, cash updates occur when the detail is saved and the check is written. Manual Check Entry, Check Entry and Purchase Order are fully integrated in the program.

The Accounts Payable Sort Rebuild utility can initialize the necessary cash basis files from Open Invoice data previously expensed on an accrual basis.

Standard MAS 90 or MAS 200 reports are not modified. The Data Dictionary is modified to include an added AP.GLDIST file that contains the Open Invoice General Ledger Distribution data and is fully accessible through the Report Master and Import Master programs.

  • Enter Accounts Payable transactions in the normal fashion.
  • The Cash Basis changes are virtually transparent to the user performing data entry.
  • Each company may be defined as Cash or Accrual Basis, in the Accounts Payable Options screen. One company on the system may be Cash Basis, while another operates on an Accrual Basis.
  • If set-up on a Cash Basis, General Ledger postings are not made when the Invoice Journal is updated, instead the detail is "saved" and posted at the time that the check is written.
  • There is full integration with both the Manual Check Entry and the Check Entry (computer-generated check) programs, as well as with the Purchase Order module.
  • There is a utility feature built into the Accounts Payable Sort Rebuild program that can be used to initialize the necessary Cash Basis files, from existing Open Invoice information that was expensed on an accrual basis.
  • There is a General Ledger Posting Recap report, which provides the user with a monthly check register, showing all of the General Ledger Accounts, which each check was distributed to. This report is only available if the company has been setup on a Cash Basis.
  • The computer Check Form can be formatted to include General Ledger Account distribution detail for each Invoice. This feature is available to both Cash and Accrual-based companies.

Product ID: APCB

Industries: Non-Industry Specific

Business Needs: Check Processing, Vendor management