Setting Up Outstanding Payables Outstanding payables are those invoices that your company has not yet paid. Outstanding payables that are dated prior to your current fiscal year are entered as totals for each vendor in the Payables Journal. Transactions entered with dates prior to your current fiscal year do not affect ledger balances. Outstanding payables […]
CheckMark MultiLedger
How to Set Up Prior Outstanding Receivables in MultiLedger
Setting Up Prior Outstanding Receivables Outstanding receivables that are dated prior to your current fiscal year are entered as invoices for each customer through the Sales Journal. Transactions entered with dates prior to your current fiscal year do not affect ledger balances. Outstanding receivables that are dated within your current fiscal year should be entered […]
How to Set Up Ledger Account Balances in MultiLedger
Setting Up Ledger Account Balances You don’t have to enter account balances before you begin transaction entry; however, to obtain a valid balance sheet you must enter the beginning balances for the accounting period you will be starting transaction entry in MultiLedger. Note: You can enter or adjust these balances at any time during the […]
How to Set Up Posting Categories in MultiLedger
Setting Up Posting Categories Category Descriptions The following table describes the purpose of each category and the MultiLedger windows that use it. Category Windows Purpose Cash Account Asset 1000-1999 Vendor Payments Disbursements Journal Customer Payments Receipts Journal Paying vendors and writing checks decreases this account. Making deposits from customer payments and cash […]
How to Set Up the Chart of Accounts in MultiLedger
Setting Up the Chart of Accounts The numbering and sequencing of a company’s accounts provides the foundation for the financial reports generated by MultiLedger. While you can add accounts as needed throughout the year, careful thought and planning should go into the initial design and numbering of your company’s chart of accounts. Note: Setting up […]
How to Set Up Basic Information in MultiLedger
Setting Up Basic Company Information When you first start a new company file in MultiLedger, only a few MultiLedger commands are available until you enter basic company information and select an Ending Date of Prior Year. Click Company Information in the Command Center. Enter the company name that you want to appear at the top […]
How to Create a New Company File in MultiLedger
Creating a New Company File on Windows Open MultiLedger by clicking Start to Programs, or the shortcut, then choosing MultiLedger from the CheckMark MultiLedger group. Choose New Company from the File menu. […]
How to set up a company with MultiLedger?
This article shows you how to set up a company with MultiLedger, and discusses the following topics: Entering company information, Setting up your company’s chart of accounts and beginning account balances, Entering prior outstanding receivables and payables, as well as inventory or service items. Optional setup information, such as passwords, salespeople, sales tax, budgets, jobs, […]
How to Use Command Center in CheckMark MultiLedger
When you open a company with MultiLedger, the first thing you’ll notice is MultiLedger’s Command Center. The Command Center is divided into three sections: Setup, Transactions, and Reports. To use the Command Center, simply click the button of the window you want to open. When you have a company open with MultiLedger, the Command Center […]
How to Install & Start MultiLedger in Windows
Installing MultiLedger on Windows Follow the steps below to install MultiLedger on your Windows computer. For instructions on installing MultiLedger on a Macintosh, see “Installing MultiLedger on a Macintosh” Note: If you will be using MultiLedger’s multi-user capabilities, learn more about Multi-User MultiLedger. Start your computer as you normally would. Insert the MultiLedger disk. Follow […]