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TESTDRIV.DOC
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1992-07-04
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TEST DRIVE ..... the Home Budget Management System
Welcome to the HBMS "Test Drive". This file and the sample data
has been included for demonstration purposes. Following the steps in
this document can be the most efficient way to acquaint you with HBMS,
show off SOME of its capabilities, and help you decide if the program
will serve your needs.
The time period for this data is from January through April, 1984.
In the interest of disk space, the ledger files for January, February,
and March are missing. This means you will be unable to view or print
transaction entries for these three months. However, the actual totals
for these months are still recorded in the ACCOUNTS.84 file. Also you
should not try to reopen into March.
Be aware that this data is fictitious. If some of the amounts or
descriptions seem odd, bear with me.
Please follow the steps closely and resist the temptation to
experiment on your own until you have been completely through this
"Test Drive".
Make sure the files HBSETUP.EXE, HBMS.EXE, HBMS.OVR, CATS.84,
ACCOUNTS.84, LEDGR-4.84, HCONFIG.84, MACROS.84, TEMPLATE.84 and
DUEDATES.84 are on your disk. It might be helpful to check off the
steps as you go along. Having a printed copy of HBMS.DOC is helpful,
but not absolutely necessary for the Test Drive.
Throughout this document the verb "strike" will mean to tap the
intended key only. You will not have to use the <ENTER> key. The
verb "enter" will mean type in your data and then use the <ENTER> key.
**********************************************************************
1. Start the program by typing HBMS and strike <ENTER>. You will be
greeted with a message about Shareware. Registered users are
provided with information on how to bypass this screen. If you
have not already run the HBSETUP program, you will be warned
about it, but for now just continue. (HBSETUP also allows you to
have color.) HBMS will use the system date in your computer to
prompt you for the Year of Account Data. We want to load the
sample data for 1984 so change it to "84" and hit <ENTER>. This
number also happens to be the file extension of all the data
files. If the sample data is in the same directory you ran HBMS
from, the Data Path should be correct, so just hit <ENTER>. You
should now be at the Main Menu screen. Notice that it reminds
you of the current open month, fiscal year, and exactly where the
data files are.
First we will explore the Reports section, as these reports will be
the end result of your financial record-keeping.
2. Select "R" for Reports. Accept "4" as the Month to Report.
At this point you will be prompted for an Account Code. HBMS uses
short codes (abbreviations), to refer to accounts. Since you don't
have a printed example of the different accounts in the sample data,
strike the <F2> key to bring up a Chart of Accounts help screen. All
the Categories and Accounts are available for your inspection, but for
now use the ESCape key to get back to the Account Code prompt.
3. Enter "EL" to select Electricity, and you will be presented with
the "Monthly Totals" view of this account.
The data inside the heavy outlined box is for the "EL" Account only.
Notice that an asterisk flags both April, and Year To Date Actuals as
being outside the budgeted limits. Looking below you will see that
Electricity falls in the UTILITIES category. Similarly, UTILITIES is
part of the EXPENSES Money Group, which is used to calculate NET INCOME.
4. Notice the prompt on the bottom line of the screen, and strike
"A" for an annual view of Electricity.
The data in this screen is pretty much self-explanatory.
5. Strike the <ENTER> key and you will be prompted with the code of
the next account to report on. Striking the <ENTER> key again
will accept that prompt.
You will find that by just using <ENTER> alone you will be able to
step through the accounts in the order they appear in the Chart of
Accounts.
6. Bring the Repair/Improvement account on screen by entering "RI"
at the account code prompt.
7. Strike "S" to select a Sorted Ledger view of Repair/Improvement.
8. You will be prompted with a beginning month of 4 (April).
NOTE: In a normal budget you would be able to start at the
beginning of the year, but since the first three months of ledger
entries have not been included in the sample data, please accept 4
as a starting point.
All the transactions involving Repair/Improvement for April will be
displayed. The numbers under the "Rec" column are the record numbers
of the transactions as they were entered in the Ledger Posting section.
9. Before leaving the Sorted Ledger screen, enter "CK" in the
account code field to view the checking account. Notice that the
screen will pause when it fills so you can view the data before
it scrolls off. At this point you can strike <ENTER> to continue
scrolling or <ESC> to end this account and select another.
By now you should have the idea of how to select the different views
and step through the accounts, but there is one more way of observing
data on screen, and it resides in the Ledger Posting section.
10. Leave the Screen Reports section by using the <ESC> key.
11. From the Main Menu, strike "L" for Ledger Posting.
12. Notice the bottom line on the screen and enter a "V" at the
action prompt to "View" the previously entered transactions.
13. Accept month 4 as a starting point.
You will be presented with the first transaction in April, exactly as
it was entered. You can browse through the other transactions by
using the <UP>, <DN>, <PgUp>, <PgDn>, <HOME>, and <END> keys.
14. When finished, use <ESC> to get back to the Ledger Posting screen.
At this point you have seen SOME of the screen reporting capabilities
of HBMS. The printed reports are just as informative, but please
wait until later to try them. You will have to configure your printer
first, by using HBSETUP.
If you have stayed with me this far and have been favorably impressed,
please continue and I'll demonstrate two different methods of entering
ledger data into the system.
15. You should be at the Ledger Posting screen with the Action prompt
waiting. Accept "D" for Decrease.
16. Enter "CK" for Checking as the "source" account. The current
balance for that account will be displayed.
17. Enter "123" as the check number (type over whatever is there).
18. Enter "16" as the date. (on first access to Ledger Posting,
the system date will be supplied, just type over it)
19. Enter "The Drug Store" for the Payee. (Source description)
20. Enter $14.73 for the amount of the check. Notice how the amount
turns to a negative value. That's because you will be decreasing
the balance of the CHECKING ACCOUNT (by writing a check).
Now you will disburse the money to the "target" accounts.
21. Instead of accepting the full amount, enter $9.95 as a target
amount.
22. Enter "FC" for the target code.
23. Enter "Processing" for the target description.
24. You will be prompted with the remaining $4.78 as the value for
the next target amount. Accept it.
25. Enter "RX" for the account code.
26. Type in "Vitamins" for the description but DO NOT hit <ENTER>.
27. This will be a good chance to experiment with the editing keys of
HBMS. Try the <HOME> key, the <END> key, the <LEFT> and <RIGHT>
arrows, <INSERT> and <DELETE>. Save the <ESC> key for last.
28. Strike the <ESC> key in order to erase the description field.
Type in the Tilde <~> character only and hit <ENTER>.
This action will automatically enter whatever was in the Payee/Payor
field above. It can come in handy on certain types of transactions.
29. At this point you will have to decide whether the "Above
Information is OK". Strike "N" for no. Now you are in the
"EDIT" mode. Use the <ENTER> key to step through the fields
by accepting each value until you get back to the Rx Drugs
description. Change the description back to "Vitamins".
30. Accept the information as being ok.
For the second and last screen we will do a Spending Cash transaction.
31. Strike "D" for Decrease, enter "SC" for Spending Cash, and accept
the same date. There is no check number and for a spending cash
transaction, nothing is needed in the Payee field.
32. Leave the source amount field empty also for this transaction.
When the source amount is left empty, HBMS will keep a running total
as you disburse the money to the target accounts listed below.
33. Enter $2.05, "BM" for Books/Magazines, and any description.
The prompt at the bottom of the screen talks about a "NULL" value.
This simply means an empty entry field. The <ESC> key will empty or
NULLify the field, but don't do it now.
34. Enter $3.53 and "EO" for Eating Out.
Notice how a running total is being tallied for Spending Cash in the
source amount field.
35. At this point you could continue to list all the items that you
bought with spending cash on this date. When finished leave an
amount value empty (null) and you should be prompted for the
"Above Ok" decision.
36. An <ESC> at the Action prompt, returns you to the Main Menu.
Please be aware that HBMS has many more features, and lots of short
cuts. By now though, you should have an idea of what HBMS is designed
to do. I hope it suits your needs. If you haven't done so already,
please print (and READ) the documentation, and run the setup program
HBSETUP.EXE. Then you will be able to print the sample data reports.
This is something I highly recommend. The sample data contains
examples of most types of transactions, and many other things you may
have questions about. Before you start your own budget system, you
should print the Sample Chart of Accounts as a minimum. It will give
you an idea of how to design your own Chart of Accounts. Some users
have reported that they have used the Sample Chart of Accounts as a
beginning for their own, and just made a few changes. This is an
excellent idea and you can read about how to do it in the main
documentation under "Beginning a New Year".