Bizz Wizz : Setup , Main Menu , Ledger , Phone Book , Invoice Book , Stock Book , Order Book , Creditors , Point of Sale , Business Name , Diary , Document Manager , Unlock , Backup
See Also : Ledger Terms , Ledger Menu , Category List , Add / Change Record , Transaction Lists , End of Year Procedure , Bank Reconciliation
NOTE: By moving the mouse over the buttons, the help box at the bottom of that screen will give you a brief description of the function of that button.
Please note that the picture below is the same format for:
New Record
Change Record
however, there are small changes between the Income and Expense Record pages that will be stated below.

You are on the [New Record] or [Change Record] page.
You need to enter the
details required for each description field. Name or Detail entries can be saved
to the [quick list].
Next select the bank number, a list will show in the box to the right.
The Invoice Number and/or Order Number is
located on the Invoice you received. Enter these numbers in the [Invoice Number]
and/or [Order Number] field.
Next you need to enter the total amount of the Transaction with GST Inc.
Then the GST amount in the [Tax Amount] field.
This field already has a [c] in it. If you press [Enter] or [Tab] it
will automatically enter [The default Tax Amount ]. C = Calculate
If any amount
of this bill is for personal use, you need to work out what Amount is
personal. This
field also has a [c] in it for you to automatically enter [The
default Personal Amount ]. If you don't want to have the percentage as a
default, then all you need to do is enter the $ value for the [Personal Amount]
field.
The date the transaction was first created on will automatically appear
in the [Transaction First Created] field. If the Bank Account is unlocked, then
you can choose to reconcile the transaction by clicking on the field [Tick to
Reconcile]. If you are on the Income New or Change Record page
than you can access the Bank details. You will not be able to access these
details in you are in the Expense New or Change Record page as these fields will
be greyed out. When on the Income New or Change Record page then you can choose
the [Yes] or [No] field to include the Income in the [Include in Deposit Slip]
field. If you are on the Expense New or Change Record page then you can choose
to enter the remittance number in the [include in Remittance No.] field.
If you are on the [Change Record] page, you can edit the changes required for that Transaction and then click on the [Ok & Save] button.
The [Change Category] button allows you to go back to the Category list
The [Funds Transfer] button allows you to transfer funds from one bank account to another. The [Funds Transfer] option is also only available while you are in the Expense New or Change Record page. It will be greyed out on the Income New or Change Record page.
The [OK & Save] button allows you to save the information you have just entered.