MYOB Accounting v16 and MYOB Accounting Plus v16: Release...

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1 MYOB Accounting Plus v16 MYOB Accounting v16 Release Notes MYOB Licence Agreement IMPORTANT–READ THIS CAREFULLY BEFORE PROCEEDING. This Product (consisting of the user documentation and the installation CD or other media containing the Software) is sold subject to the terms of a Software Licence Agreement, notification of which has been provided to you so that you are now legally bound by its conditions. The full terms of the Licence are included in the user documentation and the installation CD. HOWEVER, if the Licence Agreement contains anything of which you were not aware prior to purchasing the Product or do not agree to be bound by, DO NOT INSTALL THE SOFTWARE but return the Product to the reseller in its entirety and a full refund of the purchase price will be made. By installing the Software and keeping the Product you are confirming that you have purchased the Product subject to this Licence and are bound by its provisions. Upgrading your MYOB software For simplicity, the term ‘MYOB accounting software’ is used to collectively refer to MYOB Accounting Plus and MYOB Accounting. When necessary, specific references are made to a single product, for example, in the new features section. Complete these steps to upgrade your software. MYOB Technical Support If you require technical support for your MYOB accounting software, see ‘Technical support’ on page 7. Additional resources on the installation CD To access resources on your MYOB accounting software installation CD, see ‘Accessing resources on the installation CD’ on page 7. Step Action See: 1 Install your MYOB accounting software page 3 2 Upgrade your files page 4 3 Read about new features in your MYOB accounting software page 8 Part Number: MAMP03101/v16

Transcript of MYOB Accounting v16 and MYOB Accounting Plus v16: Release...

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MYOB Accounting Plus v16MYOB Accounting v16Release Notes

MYOB Licence Agreement

IMPORTANT–READ THIS CAREFULLY BEFORE PROCEEDING. This Product (consisting of the user documentation and the installation CD or other media containing the Software) is sold subject to the terms of a Software Licence Agreement, notification of which has been provided to you so that you are now legally bound by its conditions. The full terms of the Licence are included in the user documentation and the installation CD. HOWEVER, if the Licence Agreement contains anything of which you were not aware prior to purchasing the Product or do not agree to be bound by, DO NOT INSTALL THE SOFTWARE but return the Product to the reseller in its entirety and a full refund of the purchase price will be made. By installing the Software and keeping the Product you are confirming that you have purchased the Product subject to this Licence and are bound by its provisions.

Upgrading your MYOB softwareFor simplicity, the term ‘MYOB accounting software’ is used to collectively refer to MYOB Accounting Plus and MYOB Accounting. When necessary, specific references are made to a single product, for example, in the new features section.

Complete these steps to upgrade your software.

MYOB Technical Support If you require technical support for your MYOB accounting software, see ‘Technical support’ on page 7.

Additional resources on the installation CD To access resources on your MYOB accounting software installation CD, see ‘Accessing resources on the installation CD’ on page 7.

Step Action See:

1 Install your MYOB accounting software page 3

2 Upgrade your files page 4

3Read about new features in your MYOB accounting software

page 8

Part Number: MAMP03101/v16

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Important upgrade informationYou need to read the following if you:

use MYOB ODBC Direct in conjunction with your MYOB software (for example, you import M-Powered invoices using MYOB M-Powered Import Assist)

are upgrading from a pre-2004 version of MYOB accounting software (such as MYOB Accounting v13 or earlier).

Upgrading MYOB ODBC DirectYou need to install MYOB ODBC Direct v6 to continue using the following applications in conjunction with MYOB Accounting Plus v16 and MYOB Accounting v16:

MYOB M-Powered Import Assist

MYOB BusinessAnalyst

MYOB ReportWriter

MYOB PocketAccounts

a third-party add-on solution.

NOTE : Third-party solution compatibility Contact your solution provider to ask if MYOB ODBC Direct v6 is compatible with that solution.

To access instructions for installing MYOB ODBC Direct v6, insert your MYOB accounting software CD into the drive and select Resources in the installation window that appears.

Upgrading from a pre-2004 version

Company file activation A new activation and confirmation method replaces the previous registration method used in pre-2004 releases. You need to activate your company file after you have upgraded your company files and templates.

User Accounts Newer versions of MYOB accounting software introduced user accounts, a security measure to control which staff members can open a company file. You need to upgrade your user accounts after you have upgraded your company files and templates.

Superannuation enhancements Newer versions of MYOB accounting software introduced several superannuation enhancements. These include:

superannuation payroll categories

superannuation reports

a superannuation fund list to record fund details

a Payroll Liabilities feature to record superannuation payments.

If you want to report and pay your employees’ superannuation using the enhanced features, you need to set up superannuation payroll categories. For more information on how to set up superannuation payroll categories, see MYOB Help.

More information For information on how to upgrade from a pre-2004 release and to access a demonstration movie—which guides you though this process—visit www.myob.com.au/supportnotes/upgradepre2004.

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Install your MYOB accounting softwareThe procedure in this section is for installing your MYOB accounting software on a workstation to be used by one person to enter transactions into a company file.

NOTE : Disable your virus scanner Installation of some components of your MYOB software may fail if you have a virus scanner running. We recommend you disable your virus scanner before installing the software. Once the software has been installed, you can re-enable your virus scanner.

To install your software

This procedure is applicable to all versions of Windows.

1 If your computer only allows people with administrator privileges to install software, login as an administrator.

2 Save any open documents you want to save and close all programs.

3 Insert your MYOB accounting software CD into the drive. An installation window appears.

If an installation window does not appear, open the CD drive—usually the D: drive—in Windows Explorer and double-click autorun.exe.

4 In the installation window, follow the on-screen installation instructions.

NOTE : InstallShield errors For information on how to resolve InstallShield errors, go to http://www.myob.com.au/supportnotes and search for the InstallShield error support note (document ID 9219).

5 When installation is complete, click Finish. Your default web browser displays the What’s New in This Version topic from MYOB Help.

Continue with ‘Upgrade your files’ on page 4.

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Upgrade your filesCompany files created with a previous version of your MYOB accounting software need to be upgraded. Customised reports, forms, letters, spreadsheets and your BASlink setup used in the previous version of the software also need to be upgraded.

Perform the tasks in the following sections for each company file.

Step 1: Upgrade your company files1 Back up the company files you use.

2 Go to the Start menu and choose Programs (All Programs in Windows XP), locate your MYOB accounting software folder (for example MYOB Accounting v16), select MYOB Tools, and then select the Upgrade Assistant.

The Upgrade Assistant welcome window appears.

3 Click Next. The Find File to Upgrade window appears.

4 Click Find File. The Select File to Upgrade window appears.

5 Select the company file to be upgraded, and click Open. The Find File to Upgrade window reappears.

In the Find File to Upgrade window, the path and filename of the selected company file appear below the Find File button. The proposed path—for example C:\Accounting16—and name of the company file appear below the Save As button.

6 If you want to change the location or name of the upgraded company file:

a Click Save As. The Save As window appears.b Select the location, type a new name, and then click Save.

7 Click Next. The Confirm window appears.

8 Click Next to start the upgrade. The Complete window appears when the upgrade is finished.

9 If you want to upgrade another company file, click Next.

10 Click Finish to close the upgrade assistant.

NOTE : If you are upgrading from MYOB Accounting Plus v13, or MYOB Accounting v13 or earlier, the Windows file extension for your company file will become ‘.myo’.

Continue with ‘Upgrade your customised templates’ on page 5.

Step Action See

1 Upgrade your company files below

2 Upgrade your customised templates page 5

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Step 2: Upgrade your customised templatesIf you customised reports, forms, letters, spreadsheets and BASlink setup in a previous version of your MYOB accounting software, you need to upgrade these templates to continue using them in your new software.

You can automatically upgrade your customised templates by using an assistant (see below), or upgrade them manually by copying the templates to the installation folder (see page 6).

To automatically upgrade customised templates

1 From the Windows Start menu, choose Programs (All Programs in Windows XP) and locate your MYOB accounting software folder (for example, MYOB Accounting v16), select MYOB Tools, and then select the Templates Upgrade Assistant.

The Templates Upgrade Assistant welcome window appears.

2 Click Next. The Copying Files window appears.

The path to your previous MYOB software is displayed in the Source field (for example, c:\Accounting15) and the path to your current MYOB software is displayed in the Destination field (for example, c:\Accounting16).

NOTE : If the previous version cannot be found If your previous MYOB software was not installed in the default location, a message will appear stating that the previous version could not be found. To manually locate it, click the Browse button. Navigate to the MYOB software installation folder and click the .exe file (for example, myob.exe) and then click Open. The correct path should now be displayed in the Source field.

3 Click Start.

The upgrade assistant will first move the templates in the previous software folder (for example, C:\Accounting15\Forms), into folders with the prefix ‘Old’ (for example, Old Forms), and then copy the templates from your previous version into the appropriate folders for the latest version (for example, C:\Accounting16\Forms).

When the templates have been copied, the Finished window appears.

4 Click Finish to close the Templates Upgrade Assistant.

Proceed to ‘New features in your MYOB accounting software’ on page 8.

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To manually upgrade customised templates

1 Open Windows Explorer, locate the installation folder of your previous version of your MYOB accounting software and open it (for example, the folder located at C:\Accounting15). The installation folder contains these folders and files:

2 Open a folder that contains templates that you have created (for example, if you have customised invoice templates, open the Forms folder).

3 Select the custom template files you created.

CAUTION : Avoid overwriting standard templates The standard templates included with your latest MYOB accounting software have improved features. To avoid overwriting these templates with old versions, ensure you select only the templates you have created.

4 Go to the Edit menu and choose Copy.

5 Open the corresponding folder in your current program installation folder (for example, the forms folder located at C:\Accounting16\Forms).

6 Go to the Edit menu and choose Paste.

7 Repeat from step 2 for each folder containing your customised templates.

Proceed to ‘New features in your MYOB accounting software’ on page 8.

Folder File extensions Type of file

Custom *.rpt User-customised report templates

Forms *.frm Standard and user-customised form templates

Letters *.dot Standard and user-customised Microsoft Word word-processing templates

Sprdsht *.xlt Standard and user-customised Microsoft Excel spreadsheet templates

BASlink\Setup *.bas User-customised BAS template.

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Accessing resources on the installation CDYour MYOB accounting software CD contains third-party software installers, information and other resources besides your MYOB accounting software installer.

To access additional resources

1 Insert the MYOB accounting software CD into the drive. An installation window appears.

If an installation window does not appear, open the CD drive—usually the D: drive—in Windows Explorer and double-click autorun.exe.

2 Click the Resource tab in the installation window. Available resources include:

Technical support

MYOB Cover If you have to MYOB Cover, you can call MYOB Technical Support from 7.30 a.m. to 9.30 p.m. Monday to Friday (Melbourne time) on 1300 555 123.

MYOB Pay-Per-Call Support If you are not subscribed to MYOB Cover, you can access MYOB Technical Support by paying for each call you make. This service is available by calling 1300 555 128 from 9 a.m. to 7 p.m. Monday to Friday (Melbourne time).

Technical support limitations Support is limited to the following MYOB product areas: installation, upgrade assistance, basic usability and basic functionality, as described in MYOB product documentation. MYOB cannot resolve connectivity issues caused by third-party services, service providers, hardware or software, or networking problems. MYOB phone support does not cover inquiries on general accounting or taxation issues, nor does it include application consulting or training.

Getting support at MYOB websites Support Notes cover a variety of technical and general topics, ranging from installation problems, setting up your MYOB software and customising it. You can search the support notes database at http://www.myob.com.au/supportnotes.

Resource Description

Adobe Reader Install Adobe Reader to view tutorial files and to print out additional copies of user documentation.

Apple QuickTime Install this software if you want to generate PDF reports and invoices.

Internet Explorer Install the internet browser that MYOB Help has been designed to work with.

Documentation You can print a copy of the user documents provided with your software.

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New features in your MYOB accounting softwareSome of the features described in this section—specifically Payroll features—are only available in MYOB Accounting Plus. If you have purchased MYOB Accounting, these features will not be relevant to you.

Function Enhanced features See:

Payroll [MYOB Accounting Plus only]• Timesheets• Payroll liability payments • Audit trail tracking• Payment Summaries

page 9

Inventory • Receive items without a supplier bill• Choice of standard cost or last cost defaults for items

page 15

Auditing & Financial Control

• Retain transactions from previous seven financial years• Enhanced Company Data Auditor• Improved budgeting tools

page 19

BASlink • Option to prepare annual BAS/IAS• Include Fuel Tax Credits (FTC) in BAS calculation

page 22

Record Management

• Combine cards into one record and retain transactions• Combine accounts into one account and retain

transactions• Copy details of a recurring transaction to multiple

cards

page 24

Data Import and Export

• Match imported data by card ID and record ID• Importing and exporting employee payroll details

(MYOB Accounting Plus only)• Importing and exporting Inventory adjustments

page 26

Reports • New reports for payroll, accounts, sales and purchases• Audit trail enhancements

page 29

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Enhanced payrollNOTE : Payroll is only available in MYOB Accounting Plus.

The new payroll features are:

timesheets for recording hours worked

new way of paying payroll liabilities

audit trail now tracks a range of payroll changes

new Payment Summary format.

Process Payroll assistant changes In addition to these enhancements, the following changes have been made to the Process Payroll assistant:

Unprocessed timesheets (activity slips) are now automatically selected for inclusion in employee pays.

Previously, unprocessed timesheet entries (activity slips) were printed by clicking the Print Details button. This button has been renamed Display Unprocessed Timesheets.

Timesheets

Timesheets can be used to record all the hours worked by hourly employees or to record extra hours worked by employees that are paid based on standard pay. If you pay employees for time-billing activities, you can also enter activity details on timesheets and use these details to create activity slips.

The timesheet feature is optional. If your hourly employees work a fixed number of hours per pay and you don’t pay employees for time-billing activities, there’s no need for you to use this feature. However, if you pay employees for additional hours worked, such as overtime, you can record these hours using timesheets.

To set up timesheets

1 Go to the Setup menu and choose Preferences. The Preferences window appears.

2 Click the System tab.

3 Select the I Use Timesheets for [...] and My Week Starts on [...] option.

4 If you use timesheets to record:

time-billed activities and payroll information, select Payroll and Time Billing from the I Use Timesheets for [...] list.

payroll information only, select Payroll from the I Use Timesheets for [...] list.

5 Select the first day of your pay week from the My Week Starts on [...] list. If your pay period does not start on the same day of the week each time, for example monthly pay periods, select any day of the week from the list.

6 Click OK.

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To enter employee hours on a timesheet

1 Go to the Payroll command centre and click Enter Timesheet. The Enter Timesheet window appears.

2 In the Employee field, type or select the employee’s name. The employee’s timesheet, with any previously entered details, appears.

NOTE : Grey values in date fields A grey value in a date field indicates hours paid. Although you can adjust these values (say, for reporting purposes), you cannot include the adjusted hours in an employee’s pay. You need to record any adjustments in the employee’s next pay.

3 If you are recording details for a week other than the current week:

click the back arrow ( ) to select a previous week

click the forward arrow ( ) to select a future week

click the calendar icon ( ) and select a week from the calendar that appears.

4 Enter timesheet details by either:

entering the daily hours worked for each payroll category. For each payroll category, select an hourly payroll category in the Payroll Category field and enter the daily hours worked in the date fields. You can also:

record time-billing details (available only if you selected this option in the Preferences window)

type a description in the Notes field

assign a job number.

using the same details as the previous week. Click Copy From Previous. The employee’s timesheet details for the previous week appear.

5 If you want to enter a timesheet for another week, repeat from step 3.

NOTE : Removing timesheet entries You can remove unpaid entries on a timesheet at any time. For more information see MYOB Help.

6 Click OK. The timesheet hours are saved.

If you record time-billing activity details on a timesheet, an activity slip is automatically created. You can edit the activity slip information in the Enter Activity Slip window or the Enter Timesheet window. To do so, click in a date cell for the activity entry you want to edit, right-click and choose Edit Activity Slip.

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Payroll liabilities feature

Previously, payroll liabilities (deductions, expenses, taxes and superannuation) accrued using the Process Payroll Assistant were paid by creating a Spend Money transaction. You can now use the Pay Liabilities window to pay these liabilities.

NOTE : If you use MYOB BASlink, the Pay Liabilities feature may not be suitable for your business For more information on the suitability of this feature for your business, go to http://www.myob.com.au/supportnotes/payliabilities/.

The following reports are also available to review payroll liabilities:

Accruals by Category

Payroll Liabilities Reconciliation

Superannuation Payments By Fund

Superannuation Payments By Employee.

For more information on these reports, see ‘Enhanced reporting’ on page 29.

To pay liabilities using the Payroll Liabilities window1 Go to the Payroll command centre and click Pay Liabilities. The Pay Liabilities window

appears.

2 In the Pay from Account field, type or select the payment account.

3 In the Supplier field, type or select the authority or agency to whom the withheld amount is being paid.

4 Select the type of liability to be paid from the Liability Type list. By default, all payroll categories for the selected liability type are included in the payment.

5 If you do not want to include all payroll categories:

a Click the search icon ( ) in the Payroll Categories field. The Select from List window appears.

b Deselect categories by clicking in the select column ( ) next to each category you want to exclude.

c Click OK.

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6 If you selected Superannuation in the Liability Type field, make a selection in the Sort By field. You can sort superannuation amounts by payroll category, employee or fund.

7 In the Dated From and the Dated To fields, specify the period in which the payroll liabilities were withheld.

The payroll liabilities withheld during the specified period appear in the Payroll Category section.

8 Click in the select column ( ) next to the payroll liability amounts you want to include in this payment.

The total of the selected payroll liabilities appears in the Total Payment field.

9 Click Record.

Audit trail tracks changes in payroll

The audit trail now tracks the following employee card and payroll category changes.

Employee card details Track changes made to...

Wages • pay basis• annual salary or hourly rate• pay frequency• wages expense account

Entitlements • amounts in the Carry Over field

Superannuation • superannuation fund

Taxes • tax table • withholding variation rate• total rebates• extra tax

Payroll History • all payroll history amounts

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Filter the audit trail report

You can now filter the audit trail report for payroll changes in the Report Customisation window.

Payment Summary changes

A new Payment Summary format applies from the start of the 2007 payroll year.

You can now save Payment Summaries as PDF documents.

Payment Summary format

Starting from the 2007 payroll year, the ATO requires Payment Summaries to contain more information about Allowances, Deductions, Lump Sum Payment E and Workplace

Payroll category Track changes made to...

Wages • Type of Wages• Pay Rate

Entitlements • Calculation Basis

Superannuation • Calculation Basis• Exclusions • Limit• Threshold

Deductions • Calculation Basis• Deduction Limit

Expenses • Calculation Basis• Limit • Threshold

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Giving. New Payment Summary Fields have been added to the field selection list in the Payment Summary Assistant to incorporate these details.

Payment Summaries will automatically be created in the correct payroll year format, according to the current payroll year in your company file.

Save Payment Summaries

Payment Summaries can now be saved in PDF format. You do this on the final print window of the Payment Summary Assistant.

To save, select the I require a copy of the Payment Summaries to be saved option before clicking Finish.

The PDF files are saved to a Payment Summaries folder in the same location as your MYOB accounting software. Files are named by default using the employee’s name.

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Enhanced inventory controlYou can now:

receive items into inventory without a supplier bill

choose an item’s standard cost or last cost as the default value on purchases.

Receive items without a supplier bill

NOTE : The receive items feature may not be suitable for all businesses to use. For more information on the suitability of this feature for your business, go to www.myob.com.au/supportnotes/receiveitems.

In previous versions of your software, items could only be entered into inventory if a corresponding bill was recorded. You can now record received items without first recording a bill.

You enter an estimated purchase amount, which is allocated to an accrual account. Your accounts payable is not affected at this time. Later, when your supplier bills you for the items, you can record a bill with the actual purchase amount. When you record the bill, the actual purchase amount is allocated to your accounts payable and the estimated amount is removed from the accrual account.

NOTE : On-hand stock required to change the price of a received item If you want to change the price of an item you have received, you need on-hand stock of that item recorded in your company file. If you do not have on-hand stock, you need to record the price variation using a general journal entry.

Before you can receive items without a bill

Before you can record items received without a bill, you need to set up an accrual account in the accounts list. The new account must be a liability account and be an other liability account type. You then need to link the newly created accrual account to the receive items function.

To set up the accrual account

1 Go to the Accounts command centre and click Accounts List. The Accounts List window appears.

2 Click New. The Edit Accounts window appears.

3 In the Edit Accounts window:

a Select Detail Account.b Select Other Liability from the Account Type list.c Enter an account number and click TAB.d Enter a name in the Account Name field (for example, AP Accrual - Inventory).

4 Click OK. The account is created.

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To link the accrual account

1 Go to the Setup menu and choose Linked Accounts, Purchases Accounts. The Purchases Linked Accounts window appears.

2 Select the I can receive items without a Supplier bill option.

3 In the Liability Account for Item Receipts field, type or select the accrual account you created.

4 Click OK.

Record items receivedYou can record items received in two ways:

recording items received against an existing order

creating an order when you record items received.

To record items received against an existing order

1 Go to the Purchases command centre and click Purchases Register. The Purchases Register window appears.

2 Click the Orders tab. A list of your existing orders appears.

3 Select the order you want to record items received against.

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4 Click Receive Items. The Purchases window appears with the Receive Item status.

5 Enter the date you received the item.

6 In the Receive field, type the quantity received.

7 Click Record. The items are recorded in your inventory and the original order is updated with the number of items received.

When you receive the supplier’s bill, you can convert the order to a bill. For more information, see the ‘Purchases’ chapter of your User Guide.

To create an order when you record items received1 Go to the Purchases command centre and select Enter Purchases. The Purchases

window appears.

2 In the Supplier field, type or select the supplier’s name.

3 If the Item layout does not appear:

a Click Layout. The Select Layout window appears.b Select Item and then click OK.

4 Select Receive Item from the status list in the top-left corner of the window.

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5 Enter the purchase date in the Date field.

6 In the Ordered field, type the ordered quantity. This can be more than the quantity received.

7 In the Receive field, type the quantity received.

8 In the Item Number field, type or select the items received.

9 In the Price field, enter the estimated price for the items.

10 Click Record. The items are recorded in your inventory and a purchase order is created for the number of items received.

When you receive the supplier’s bill, you can convert the order to a bill. For more information, see the ‘Purchases’ chapter of your User Guide.

Inventory window name changes

The following windows have been renamed:the Transfer Inventory command centre function and the Transfer Inventory window have been renamed Build Items.

the Auto-Build Inventory window has been renamed Auto-Build Items.

Standard cost price for items

Previously, the last price paid for an item was the default price for the item on the next purchase. You can now choose between a standard cost price (that is, a fixed purchase price) or the last purchase price as the default price when entering a purchase. (Note that you can always enter an alternative price when entering a purchase.)

Before you can use a standard cost price, you need to enter a standard cost for the item in the Buying Details tab of the Items Information window.

To use the standard cost as the default price, go to the Setup menu and choose Preferences. Under the Inventory tab, select the Use Standard Cost as the Default Price on Purchase Orders and Purchases option.

For more information on standard cost, see MYOB Help.

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Improved auditing and financial control toolsEnhancements to auditing and financial control tools are:

transactions can now be retained from seven previous financial years

additional Company Data Auditor features

improved budgeting tools.

Retain transactions from the previous seven financial yearsIn this release, a new option in the Start a New Financial Year assistant allows you to retain transactions from the previous seven financial years.

To retain transactions when starting a new financial year, select the Keep Closed Transactions from Prior Financial Years option and select a year from the Keep From This Date Forward list. All transactions from that year forward are retained.

It is important to evaluate the benefit of retaining transactions, as the extra data will increase the size of your company file and can slow system performance.

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Enhanced Company Data Auditor

The following changes have been made to the Company Data Auditor:

The data exception review process is now separated into Transaction Review and Tax Exception Review steps.

The following exception reports have been added:

Reconcile payroll liabilities payments (MYOB Accounting Plus only)—reconciles payroll liability transactions (for more information, see ‘Enhanced reporting’ on page 29).

NOTE : Payroll liability payments recorded using a previous version When you run the Payroll Liabilities Reconciliation Exceptions report, the calculated balance of your linked payroll liability account is compared to the actual balance. If there is an out-of-balance amount, transactions likely to cause this amount are reported. In previous versions, payroll liability payments were recorded using the Spend Money window, and as such, may be included in this report.

Scan for paid deposits—checks for deposits on sales and purchase orders. This deposit information can generate the new Deposit by Transaction report (for more information, see ‘Enhanced reporting’ on page 29).

Check for job exceptions—checks for transactions without a job number assigned. This report is only added if the system preference Warn if Jobs Are Not Assigned to All Transactions is selected.

You can now view the exception report and customise its display prior to printing. The Print button is now replaced by the Display button.

You can also print a summary report for the current Company Data Auditor session. This option appears after the last Company Data Auditor step. The report is not available from the Index to Reports window.

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Improved budgeting tools

In previous versions, the budget for the following financial year could only be created at the end of the current financial year. In this version you can create the budget at any time by selecting the required year from the Financial Year list.

Also, you can now set budgets for all accounts. You do this in the new Prepare Budgets window.

Accounts can be assigned budget amounts in month, quarter, half year or full year periods in the Prepare Budgets window. The Copy Amount to Following Months and Copy Previous Year’s Actual Data buttons have been provided to assist with budget creation.

You can now also import and export budgets. See the ‘Importing and Exporting Data’ appendix in your User Guide for more information.

To open the Prepare Budgets window

1 Go to the Accounts command centre.

2 Click Accounts List. The Accounts List window appears.

3 Click Budgets. The Prepare Budgets window appears.

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BASlinkIf you use BASlink to prepare your BAS or IAS, you can now:

prepare an annual BAS or IAS

include fuel tax credits.

Prepare annual BAS/IAS

You can now prepare an annual BAS statement by selecting Annually from the GST Reporting Frequency list in the BAS Information window.

Include fuel tax credits when preparing your BAS/IAS

If you claim fuel tax credits, you can now include these credits when you prepare your BAS (or IAS) using BASlink.

Before you can include credits in BASlink, you need to set up your company file.

To set up fuel tax credits in BASlink

1 Create accounts to record fuel tax credits.

a Create a liability (or asset) account to record accrued (that is, unclaimed) fuel tax credits (for example, Fuel Tax Credits Accrued)

b Create an income account to record credits earned (for example, Fuel Tax Credits).

For more information on how to create accounts, see MYOB Help.

2 Set up your BAS Information options.

a Go to the Setup menu and choose Company Information. The Company Information window appears.

b Click BAS Info. The BAS Information window appears.

Prepare annual BAS

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c Select the I Claim Fuel Tax Credits option.

3 Set up the fuel tax credit field in your BASlink. You can set up your BASlink when you next prepare your BAS or IAS. When setting up BASlink, you need to:

a Click the Setup button next to the 7D field and assign your income account for credits earned (for example, Fuel Tax Credits).

b Click the Link button next to the 7D field and assign your liability account for accrued credits (for example, Fuel Tax Credits Accrued).

For more information on how to link accounts in BASlink, see MYOB Help.

Recording fuel tax credits in your company file You record fuel tax credits in your company file using a journal entry. When you enter this journal, you need to post the credit to the accounts set up in step 1 in ‘To set up fuel tax credits in BASlink, on page 22’.

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Improved record managementYou can now:

combine cards into one record

combine accounts into one account

copy details of a recurring transaction to several cards at once.

Combine cards into one record

In some situations you may want to combine two cards. For example, you may have records in your cards list for two suppliers who have merged their operations.

You can combine supplier and customer cards of the same type and currency. When you combine two cards, you identify one as the primary card and the other as the secondary card.

When combined, the non-transaction card information for the primary card—such as card name, address and buying and selling details—is retained as the default information for the combined card. The transaction details for the secondary card are added to the primary card. Non-transaction information for the secondary card is deleted.

To combine cards, select Combine Cards in the Cards List window.

Combine accounts into one account

In some situations you may want to combine two accounts. For example, you may have separate accounts for two departments whose sales figures you now want to combine.

You can combine accounts of the same type and currency. When you combine two accounts, you identify one as the primary account and the other as the secondary account.

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When combined, the non-transaction account information for the primary card—such as account name, description and bank details (for banking accounts)—is retained as the default information for the combined account. The transaction details and opening balance of the secondary account are added to the primary account. Non-transaction information for the secondary account is deleted.

NOTE : Historical reports When you view historical reports from the previous financial year (for instance, the previous financial year’s balance sheet), the primary account is listed showing the combined account balance.

To combine accounts, select an account on the Accounts List and click Combine Accounts.

Copy recurring transactions to other cards

You can now copy the details and schedules from a recurring transaction to one or more cards.

1 Go to the Lists menu and choose Recurring Transactions. The Recurring Transaction List window appears.

2 Select a recurring transaction from the list

3 Click Create Copy. The Create Copy window appears.

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4 Click the search icon in the Card field. A list of cards appears.

5 Click in the select column next to the required cards.

6 Click Use Card and then click Save.

Enhanced import and export optionsYou can now:

use card ID or record ID to identify imported transactions

[MYOB Accounting Plus only] include payroll details when importing and exporting employee cards

import and export inventory adjustments.

Identify imported data

You now have the option to identify imported supplier, customer and employee data by Card ID, Record ID or Co./Last name. This option is available when importing data for cards, sales, purchases, receipts, disbursements and activity slip transactions.

Card ID A Card ID is an identifier that you can assign to customer, supplier, employee and personal cards in your company file. If you choose this option, a record is imported if the Card ID in the imported record matches a Card ID in the company file. If it does not, the record is rejected as unmatched.

Record ID A record ID is a unique identifying number automatically assigned to each card you create. You cannot edit, duplicate or delete this number, and as such, it can be used to accurately identify imported transactions. If you choose this option, a record is imported if the Record ID in the imported record matches a Record ID in the company file. If it does not, the record is rejected as unmatched.

NOTE : Invalid data in other import fields may still cause a transaction to be rejected.

Co./Last Name If you choose this option, a record is imported if the company name or last name of the imported record matches a company name or last name in the company file. If there are cards with the same last name or company name, the transaction is likely to be rejected.

The Import File and Import Data windows have been altered to incorporate these options.

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Changes to the Import File window

Select from Co./Last Name, Card ID or Record ID as the method of identifying imported transactions.

Changes to Import Data windowCo./Last Name, Card ID and Record ID are listed as conditional fields (indicated by a ^ symbol) in the MYOB Fields list. One or more conditional fields must be selected as a Matching Import Field before starting the import.

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Import and export payroll details with employee cards

NOTE : This feature is only available in MYOB Accounting Plus

Employee payroll information can now be imported to and exported from your company file. The following data fields are now available.

Import and export inventory adjustments

Inventory adjustment transactions can now be imported and exported through the data import and export routines. The following data fields are available.

For more information about importing and exporting data, see MYOB Help or your User Guide.

Employee Cards—additional data fields

• Date of Birth • Superannuation Fund

• Gender • Employee Membership No.

• Start Date & Termination Date • Tax File Number

• Pay Basis • Tax Table

• Salary/Rate • Withholding Variation Rate

• Pay Frequency • Total Rebates

• Hours in Pay Period • Extra Tax

• Wages Expense Account • Default Category

Inventory Adjustments—data fields

• Journal Number • Amount

• Date • Account

• Memo • Job

• Item Number • Allocation Memo

• Quantity • Category

• Unit Cost

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Enhanced reporting

New Reports

Payroll (MYOB Accounting Plus only)

Payroll Liabilities by Category

Displays payroll liabilities accrued within a specified date range for deductions, expenses and payroll taxes category types.

Liabilities Payments Register

Lists any liabilities (deductions, expenses and taxes) that have been paid within the specified date range.

Timesheets Lists all the timesheet entries for the selected week for one or more employees.

Unprocessed Timesheets Displays all the timesheet entries that have not yet been paid. Also available by clicking Display Unprocessed Timesheets in the Process Payroll Assistant, however only those timesheets that have been selected for payroll processing are included.

Superannuation Payments By Fund

Displays contributions paid for all or selected superannuation funds within a date range.

Superannuation Payments By Employee

Displays superannuation contributions that have been paid for all or selected employees in a date range.

Accounts

Payroll Liabilities Reconciliation Exceptions(MYOB Accounting Plus only)

Displays the total value of unpaid payroll accrual transactions and the current balance of the linked accrual account. Out-of-balance values are also displayed.

Deposit by Transaction Lists sales and purchase orders with deposit payments within selected dates.

Linked Accounts Lists all linked accounts.

Purchases

Payables with Tax Displays the total amount of payables outstanding for each supplier, as well as the tax that is owed for each payable. It can be used to reconcile tax control accounts for cash-based tax reporting.

Sales

Receivables with Tax Displays the total amount of receivables outstanding for each customer, as well as the tax that is owed for each receivable. It can be used to reconcile tax control accounts for cash-based tax reporting.

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Enhanced Reports

Accounts

Prepaid Transactions Now displays customer sales and supplier purchases with payments dated before the invoice or purchase date, excluding deposit payments. The new report filter provides the option to list sales transaction or purchase transactions separately.

Job Transactions An allocation memo field has been included in the report to display descriptive text from the sales, purchases, inventory and payroll reports.

Audit Trail report (MYOB Accounting Plus only)

This report has been enhanced to show more detailed payroll changes.