Financials with iMIS and Advanced Accounting Console

64
FINANCIALS WITH IMIS MICHELLE LELEMPSIS, CAUSEIS + + NETWORK TRAIN LEARN

Transcript of Financials with iMIS and Advanced Accounting Console

Page 1: Financials with iMIS and Advanced Accounting Console

FINANCIALS WITH IMISMICHELLE LELEMPSIS, CAUSEIS

++ NETWORKTRAIN LEARN

Page 2: Financials with iMIS and Advanced Accounting Console

TRAINING AGENDA

• iMIS Financials Overview

• Understanding the workings of AR/Cash

• AR/Cash - Set-up Module and Tables

• Batching – What are they really?

• Roles of other iMIS modules – Events, Fundraising, Dues and Orders

• Processing transactions

• Reporting and Access to the RIGHT data

• Examples and questions

++ NETWORKTRAIN LEARN

Page 3: Financials with iMIS and Advanced Accounting Console

Michelle Lelempsis

Solutions Consultant

Email: [email protected]

Mobile: 0404 092 105

YOUR TRAINERCONTACT ME

Page 4: Financials with iMIS and Advanced Accounting Console

Morning tea:

Around 10am – 10:30am

Lunch:

12:30pm – 1:30pm

THE IMPORTANT STUFF

Page 5: Financials with iMIS and Advanced Accounting Console

• iMIS is your sub-ledger and most revenue is processed through iMIS.

• All accounting-related entries generated by iMIS (through Billing, Events, and so forth) flow through and are managed by AR/Cash

IMIS FINANCIALS OVERVIEW

Page 6: Financials with iMIS and Advanced Accounting Console

• Our usual focus is on transactions processing –

– Membership

– Donations

– Payments

– Batch reports

IMIS FINANCIALS OVERVIEW

Page 7: Financials with iMIS and Advanced Accounting Console

• We are going to start by exploring the set-up of iMIS AR/Cash

• There are many layers associated with the financial side of iMIS.

• What do these include?

IMIS FINANCIALS OVERVIEW

Page 8: Financials with iMIS and Advanced Accounting Console

• General lookups >> GL accounts

• Cash Accounts

• Default Accounts

• Tax Codes

• Product Codes in iMIS Modules

• General ledger interface

• Credit card gateway

IMIS FINANCIALS OVERVIEW

Page 9: Financials with iMIS and Advanced Accounting Console

LET’S EXPLORE THE AR/CASH MODULE SET-UP

Page 10: Financials with iMIS and Advanced Accounting Console

• General lookups >> GL accounts

IMIS FINANCIALS OVERVIEW

Page 11: Financials with iMIS and Advanced Accounting Console

• Cash Accounts

IMIS FINANCIALS OVERVIEW

Page 12: Financials with iMIS and Advanced Accounting Console

• Default Accounts

IMIS FINANCIALS OVERVIEW

Page 13: Financials with iMIS and Advanced Accounting Console

• Tax Codes

IMIS FINANCIALS OVERVIEW

Page 14: Financials with iMIS and Advanced Accounting Console

• Product Codes in iMIS Modules

IMIS FINANCIALS OVERVIEW

Page 15: Financials with iMIS and Advanced Accounting Console

• General ledger interface

IMIS FINANCIALS OVERVIEW

Page 16: Financials with iMIS and Advanced Accounting Console

• Credit card gateway

IMIS FINANCIALS OVERVIEW

Page 17: Financials with iMIS and Advanced Accounting Console

• Why do we batch in iMIS?

– Grouping similar transactions

– Reconciliation purposes

– Managing Control & Risk

• Controls in place to identify any errors

– Reporting on users and transaction types

– Manages the General Ledger interface

IMIS BATCHING

Page 18: Financials with iMIS and Advanced Accounting Console

IMIS BATCHING

UserPayment Type

Date Team

Page 19: Financials with iMIS and Advanced Accounting Console

• What does iMIS really care about?

– Batch number

– Date

– Description

– Cash type

IMIS BATCHING

Page 20: Financials with iMIS and Advanced Accounting Console

IMIS BATCHING

Page 21: Financials with iMIS and Advanced Accounting Console

• AR/Cash >> Manage Batches >> New

• Todays date

• CHQ

LET’S CREATE A BATCH!

Page 22: Financials with iMIS and Advanced Accounting Console

• What happens when a transaction is processed?

– Income

– GST

– Accounts Receivable

– Bank

• Let’s look at each module

FINANCIAL PROCESSING

Page 23: Financials with iMIS and Advanced Accounting Console

OTHER IMIS MODULES – ROLE IN FINANCIALS

Page 24: Financials with iMIS and Advanced Accounting Console

• iMIS Billing / Dues

– GST

– Income and Deferred Accounts

– Prorate Rules

• If there is no account defined where will it go?

IMIS MODULES – BILLING

Page 25: Financials with iMIS and Advanced Accounting Console

IMIS BILLING

Page 26: Financials with iMIS and Advanced Accounting Console

• Transaction processing – What happens?

• Cash based

– Billing Cycles raises “reporting” lines

– Income raised when renewal paid

– Accounts Receivable lines are not created in dues when cash based

• Accrual based

– Billing cycle raises income and AR transactions

– Renewal paid bank expected and AR paid

IMIS MODULES – BILLING

Page 27: Financials with iMIS and Advanced Accounting Console

• (ID 160) Betty Smith has been billed

LET’S CREATE A DUES PAYMENT!

Page 28: Financials with iMIS and Advanced Accounting Console

• iMIS Events

– GST

– Income and Deferred Accounts

– Start date (if running deferred)

• If there is no account defined where will it go?

IMIS MODULES - EVENTS

Page 29: Financials with iMIS and Advanced Accounting Console

IMIS EVENTS

Page 30: Financials with iMIS and Advanced Accounting Console

• Transaction processing – What happens?

• Event registration entered:

– Income raised

– GST

– Accounts Receivable

• Event registration paid

– Account Receivable

– Bank Expected

IMIS MODULES - EVENTS

Page 31: Financials with iMIS and Advanced Accounting Console

• Registrations can CONTINUE to be updated after they have been registered

• Therefore impacting income accounts, AR and GST.

IMIS MODULES - EVENTS

Page 32: Financials with iMIS and Advanced Accounting Console

LET’S REGISTER A DELEGATE!

Page 33: Financials with iMIS and Advanced Accounting Console

• iMIS Fundraising

– Income codes

– Fund codes

• If there is no account defined where will it go?

IMIS MODULES - FUNDRAISING

Page 34: Financials with iMIS and Advanced Accounting Console

IMIS FUNDRAISING

Page 35: Financials with iMIS and Advanced Accounting Console

• Donation processed – What happens?

• Donation processed (always paid at entry)

– Income based on Distribution Code

– Bank Expected

IMIS MODULES - FUNDRAISING

Page 36: Financials with iMIS and Advanced Accounting Console

• iMIS Orders

– Income account codes

– GST

• If there is no account defined where will it go?

IMIS MODULES - ORDERS

Page 37: Financials with iMIS and Advanced Accounting Console

IMIS ORDERS

Page 38: Financials with iMIS and Advanced Accounting Console

• Order processed what will happen?

– Income

– GST

– AR

IMIS MODULES - ORDERS

Page 39: Financials with iMIS and Advanced Accounting Console

LET’S PROCESS AN ORDER!

Page 40: Financials with iMIS and Advanced Accounting Console

GENERAL LEDGER INTERFACE

Page 41: Financials with iMIS and Advanced Accounting Console

• Method of controlling transactions from iMIS to your GL

• Who is using the GL Interface?

GENERAL LEDGER INTERFACE

Page 42: Financials with iMIS and Advanced Accounting Console

• iMIS Business Rules for including a transaction in the GL file:

– Transaction must be posted

– Transaction must not have already been posted to the general ledger

GENERAL LEDGER INTERFACE

Page 43: Financials with iMIS and Advanced Accounting Console

• General ledger interface will output the file that can then be imported into your accounting package.

• The “generic” template is typically used for manipulating into the preferred format.

GENERAL LEDGER INTERFACE

Page 44: Financials with iMIS and Advanced Accounting Console

• No individual data is sent to the GL it is all financial transactions grouped by either:

– Transaction date

– Batch

– None

GENERAL LEDGER INTERFACE

Page 45: Financials with iMIS and Advanced Accounting Console

GENERAL LEDGER INTERFACE

iMISAccounting

package

•Donors

•Profile information

•Manage

outstanding debtors

•Information about

supporters

•Profit and Loss

statements

•Income

statements

•Executive

reports

Page 46: Financials with iMIS and Advanced Accounting Console

• There are several elements to the payment gateway –

– iMIS

– Payment Gateway

– Accounting system

– Bank

PAYMENT GATEWAY

Page 47: Financials with iMIS and Advanced Accounting Console

PAYMENT GATEWAY

iMISAccounting

package

Bank

Settlement: 1800hrs to 175959 hours

Page 48: Financials with iMIS and Advanced Accounting Console

• Users will get errors from the gateway due to the number of layers involved.

• So what are some of these errors and how should we proceed?

– Declined

– Unknown

– Cannot contact issuing or acquiring bank

– Timeout error

PAYMENT GATEWAY

Page 49: Financials with iMIS and Advanced Accounting Console

Declined

• Transaction will not commit to iMIS (unless processed via EFT)

• The user can re-try the credit card or cancel the donation

Unknown

• Transaction will commit to iMIS

• The user must delete the transaction as an unknown authorisation code has not been processed to the donors credit card.

• From bank rec process we will still expect the donation.

PAYMENT GATEWAY

Page 50: Financials with iMIS and Advanced Accounting Console

Cannot contact issuing or acquiring bank

• Transaction will not commit to iMIS

• The user can re-try the credit card or cancel the donation

• Most times, in 30 minutes the credit card will be processed

Timeout error

• Transaction will not commit to iMIS

• The user can re-try the credit card or cancel the donation

• Most times, in 30 minutes the credit card will be processed

PAYMENT GATEWAY

Page 51: Financials with iMIS and Advanced Accounting Console

REPORTING ON FINANCIALS

Page 52: Financials with iMIS and Advanced Accounting Console

• There is more to financial reporting than …

REPORTING

Page 53: Financials with iMIS and Advanced Accounting Console

REPORTING

iMIS TRANS table = Financial

Reporting

Page 54: Financials with iMIS and Advanced Accounting Console
Page 55: Financials with iMIS and Advanced Accounting Console
Page 56: Financials with iMIS and Advanced Accounting Console
Page 57: Financials with iMIS and Advanced Accounting Console
Page 58: Financials with iMIS and Advanced Accounting Console

• What is the new iMIS Advanced Accounting Console?

ADVANCED ACCOUNTING CONSOLE

Page 59: Financials with iMIS and Advanced Accounting Console

• Let’s login via the Desktop

ADVANCED ACCOUNTING CONSOLE

Page 60: Financials with iMIS and Advanced Accounting Console

• Operating from a workstation that can be hosted locally or remotely, iMIS Advanced Accounting Console is a streamlined, easy-to-use interface alternative to the earlier iMIS Desktop.

• iMIS Desktop continues to allow an administrator to define and setup iMIS. However, as iMIS functionality is accessible from the web, you can perform many setup options through your Staff site.

ADVANCED ACCOUNTING CONSOLE

Page 61: Financials with iMIS and Advanced Accounting Console

• Let’s take a look!

ADVANCED ACCOUNTING CONSOLE

Page 62: Financials with iMIS and Advanced Accounting Console

Workshop – Financials Fixes: Reversals, Refunds,

Adjustments (Part 2)

Trainers: Doug Morris, Computer System Innovations Inc and

Conrad Henley-Calvert, Millpost Technologies

Keeping your financial data in check, is critical for your organization. This session will go over the proper way to reverse transactions, handle refunds, and even adjust those special cases. In addition, we will go behind the scenes to learn how to untangle the really messy transactions. You will return to your office knowing the “Right” way to use iMIS from a financial correction aspect. A “light” version of this session occurs later in the conference.

IMIS FINANCIALS PART 2

Page 63: Financials with iMIS and Advanced Accounting Console

Michelle Lelempsis

Solutions Consultant

Email: [email protected]

Mobile: 0404 092 105

YOUR TRAINERCONTACT ME

Page 64: Financials with iMIS and Advanced Accounting Console

WITH THANKS TO OUR SPONSORSNIUG DISCOVERY CONFERENCE

++ NETWORKTRAIN LEARN