Module Implementation and Setup
Learn about the tasks for implementing and setting up the Accounts Receivable module.
Define an Analyse Current Business Requirements
This step is an important pre-requisite before any data is converted or setup in the Accounts Receivable module. It involves a review of your current business processes in relation to AR function. Analyse your requirements to determine how Greentree should be set up to support your business needs.
You should also review your existing reports to determine how Greentree reports will meet your needs.
Your Greentree consultant can help you prepare your business requirements definition, and help you to understand how Greentree will satisfy your process requirements.
Determine the Data Conversion Method
You must determine how you will transfer data (primarily customer masterfiles, opening balances, and/or historical transactions) from your current system into the Greentree system. There are three main ways to do this:
- Enter data into Greentree (for example, customers, opening balances);
- Convert data from your current system into Greentree Desktop. If you select this method, you must map the data from your old system to Greentree, and a conversion form will must be developed;
- Upload data into Greentree from Excel, using Greentree Desktop's FREE functions. If you use this method, you must extract data from your current system and manipulate it in Excel before applying formulas to load data into Greentree Desktop.
The method you choose will depend on the volume of your data, and your requirements in terms of historical data that must be retained during Greentree transition.
Review and Define System Setup Parameters
Reviewing the Greentree system setup options, and determine which codes/parameters must be set up to support your business processes. Carry out the task in this order:
(a) Pre-requisites to defining Accounts Receivable Module Control Parameters
Set up these codes before assigning defaults to the Accounts Receivable Module Control. They may not all be relevant, it will depend on your business requirements.
- Define Currency Codes. All companies in the system use these codes..
- Define Payment Terms
- Define Overdue Interest Codes
- Define Branch(es).
- Define Calendar(s). These are system-wide.
- Define Cash Analysis Codes (if Cash Management is in use).
- Define Salespeople
- Set up Taxation parameters
- Define Inventory Transaction Types (if Inventory is in use).
(b) Define Accounts Receivable Module Control Parameters
When you have setup codes, you can define the AR Module Control defaults and parameters.
Some areas
within Module Control can only be completed later after the customers
have been created (Task 4), such as the default Customer Team (if Advanced
Security is in use), and Sales Analysis defaults for ODBC.
(c) Define Other AR Parameters
Setup these AR parameters, as required to support your business processes:
- Country Codes - set up in System Utilities.
- Price Books (if Inventory is in use) - set up in IN Price Book Maintenance.
- GL Accounts (AR Control and Tax Accounts as a minimum). These are defined in GL Account Maintenance.
- Customer Trees *
- Non-stock Codes
- Posting Periods *
- Standing Invoices *
- User Fields
Parameters
marked with an asterisk (*) indicate that one or more customers must be
set up before these can be completed.
(d) Assign AR Integration GL Accounts in General Ledger Module Control - Integration
Assign the AR Control, Discount Allowed, and Tax GL Accounts in General Ledger Module Control. These defaults to all new customers as they are setup.
Setup Customers
Setup customers, and assign parameters to masterfiles. Some parameters is taken from the Accounts Receivable Module Control and General Ledger Module Control. You can load customers into Greentree manually, using a conversion form, or with Greentree Desktop's FREE Create Customer function.
When you have created customers, you can setup Customer Trees, and Standing Invoices . You also need to assign Sales Analysis ODBC parameters if required in Accounts Receivable Module Control.
Create and Reconcile Opening Balances
There are three ways that you can load customer balances into Greentree:
- Use the Opening Balance Entry form (if open transactions are not being converted);
- Use Excel FREE functions to create invoice transactions to represent opening balances;
- Manually enter invoices to represent opening balances.
Once the customer balances have been created, reconcile them with your old system balances.
Develop Procedures Documentation and Train Users
When you have set up the Accounts Receivable module to meet your business needs, you should update your process and procedures documentation as required, where the Greentree process or function differs from your existing system. You should train key people in your organisation to use the Accounts Receivable module.
- Data Entry
- System Utilities
- CM Cash Analysis Code Maintenance
- System Taxation
- Reporting
- System
- Customer Maintenance