Thursday, 25 April 2013

MAINTAIN VENDOR


                                                                         MAINTAIN    VENDOR                      



INTRODUCTION
You can use maintain vendors window to enter, change and store information of companies and people from whom you purchase goods and services.  You can add a vendor, change existing vendor information, or delete a vendor if no transaction has been entered.


SET UP A VENDOR RECORD
From the maintain menu select Vendors.
Here you will see the maintain vendor window.
·         Enter a new vendor ID, Name and fulfill purchase account no.
·         Select SAVE button.




VENDOR HEADER FIELDS


·         Vendor Id: this is for coding vendors ID. This code cannot be up to 20 alphanumeric characters.
·         Name: Enter the  name of the new wander here which cannot be upto39 alphanumeric characters..

INACTIVE
               If you plan purge this vendor when you close the fiscal year, select  the check box, once a vendor record is inactive, Peachtree displays a warning when you try to make a purchase or payment to the vonder.

GENERAL
To enter basic information about the vendor  such as contract information and fax numbers , beginning balances, select the general tab in the maintains vendors window.


PURCHASE DEFAULTS


To set up unique purchase transaction defaults for each vendor record, select the
PURCHASE DEFAULTS tab in the maintain vendors window. You can change this information at the transaction level, if necessary.
PURCHASE ACCOUNT
In purchase default tab we have to fulfill purchase account and in it we fill the account id of raw material. 
PURCHASE REP: You can enter or select an employee to act as the purchase rep for this vendor. And enter purchase acct , tax #, account # , ship via, terms  etc.
CUSTOM FIELDS


To enter custom field information for  the selected vendor records, select the custom fields tab in the maintain vendors window .


Friday, 5 April 2013

HOW TO MAINTAIN A CHART OF ACCOUNT


       HOW TO MAINTAIN A CHART OF ACCOUNT
Firstly open peach tree software and click on 1st  option and after that brows your file and then you will bi able to see the following window.



And in this window you will select the option of chart of accounts.



In this put account id and its description and click on tab button for account type.this all working you done for the sake of recording.



CHANGING IN THE SAVED RECORDS:
if  you want to delete the one of the saved data you will open it with open it with the help of look up button and select it from the recording and then click on delete button to delete it.


If you want to make any type of changing you again you will open the recording button to changing.  

Thursday, 4 April 2013

DEFAULTS INFORMATION


                                     DEFAULTS  INFORMATION

First of all Peach tree is open then open the maintain and after open the maintain  then  open the customer defaults

Then open the customer defaults accounts in customer defaults accounts there are given the five steps

The first step is payment terms in payment terms is write down the net due days  customer discount and credit limit and write the GL sale account and discount GL accounts




The next step is account aging in account aging there are two parts
·        Age invoices by
·        Aging categories
In age invoices by there put the invoice date and due date
And in aging categories there put the days

The next step is custom fields ,in custom fields there is a single part of  fields labels in this put the custom information



There is the four step is finance charges in finance charges there are three important part like
1.      Charge finance charges
2.      Charge interest on finance charges
3.      Print finance charges warning  message as




  
The last one is a pay methods in pay methods there is define a payment methods of customer default information.