Computerised Accounting With MYOB 2
Computerised Accounting With MYOB 2
Computerised Accounting With MYOB 2
PT. Net21Plus
Web : www.net21plus.com
E-mail : info@net21plus.com
Office:
Menara KADIN Indonesia, Lt. 30
Jl. H.R.Rasuna Said, X-5, Kav.2-3, Jakarta Selatan. Indonesia 12950
Tel. (+62) (21) 5289 1988 Fax. (+62) (21) 5299 4599
Technical Supports:
Tel. /Sms. (+62) (21) 6888 6962
E-mail: cso@net21plus.com
Yahoo Messenger: net21plus_cso@yahoo.com
GoogleTalk / Windows Live Messenger: cso@net21plus.com
Company Overview
PT. Net21Plus is MYOB Professional Partner.
MYOB Professional Partners are independent consultants who have demonstrated
a high level of knowledge, skill and experience with MYOB software.
PT. Net21Plus provides:
MYOB software demonstration, supplies, installation, setup, implementation,
training, technical supports, upgrade, add-users, data conversion, forms design,
secure remote access and MYOB ODBC add-on solutions.
contents
Case Study & Flowchart 02
18 Purchases: Returns & Debits 60
1 Setup: Currency Symbol & Date Format 12
19 Pay Bills 64
2 Setup: Company File 14 20 Sales: Items 66
3 Setup: Company Information & Preferences 16 21 Sales: Services 68
4 Setup: Currencies List 22 22 Sales: Returns & Credits 70
5 Setup: Accounts List (Delete, Edit, & Create) 24 23 Receive Payments 74
6 Setup: Linked Accounts (Sales & Purchases) 32 24 Spend Money 76
7 Setup: Tax Codes 34 25 Receive Money 78
8 Setup: Jobs, Categories & Price Levels 36 26 Reconcile Accounts 80
9 Setup: Cards List (Customer, Supplier & Employee) 38 27 Journal Entry 82
10 Setup: Items List 40 28 Unrealised Gains/Losses Journal Entry 84
11 Setup: Account Opening Balances 44 29 Build Items 88
12 Setup: Customer Opening Balances 46 30 Adjust Inventory 90
13 Setup: Supplier Opening Balances 48 31 Company Data Auditor & Lock Period 92
14 Setup: Inventory Opening Balances 50 32 Analysis 94
15 Exit, Back up, Open & Verify: Company File 52 33 Find Transactions 98
16 Purchases: Items 56 34 To Do List 100
17 Purchases: Services 58 35 Reports 102
PT. Net21Plus
Menara KADIN Indonesia, Lt.30,
Jl. H.R.Rasuna Said, X-5, Kav.2-3,
Jakarta Selatan. Indonesia 12950
Tel. (+62) (21) 5289 1988
Also Available! Fax. (+62) (21) 5299 4599
E-mail : info@net21plus.com
Web : www.net21plus.com
d. Move the Linked Account for Currency Gains/ Tax Code N-T
Losses to "8-2100 Realised Forex Gain (Loss)" and
delete "4-9999 Currency Gain Loss" account code. Description Non-Taxable
Tax Type Sales Tax
6. Setup the following Currency Linked Accounts. Rate 0%
Linked Account:
a. IDR Sales Linked Accounts.
Tax Collected 2-1100 VAT Collected
Asset Account for
1-0200 Trade Debtors
Tracking Receivables Tax Paid -
Bank Account for
1-0100 Cash
Customer Receipts
8. Setup the following Jobs, Categories and Price
Levels.
b. IDR Purchases Linked Accounts.
Job No. Job Name
Liability Account for
2-0200 Trade Creditors P PRODUCTS
Tracking Payables
Bank Account for S SERVICES
1-0100 Cash
Paying Bills
Category No. Category Name
c. USD Sales Linked Accounts. L LOCAL
Asset Account for O OVERSEAS
1-0210 Trade Debtors (USD)
Tracking Receivables
Bank Account for Price Level Description
1-0110 Cash (USD)
Customer Receipts A IDR
B USD
d. USD Purchases Linked Accounts.
Liability Account for 9. Setup the following USD (US DOLLARS) Currency
2-0210 Trade Creditors (USD)
Tracking Payables Code Cards List.
Bank Account for
1-0110 Cash (USD) Card Type Name Country
Paying Bills
Customer B-SOLUTION INDONESIA
7. Delete all other tax codes, except "N-T" tax code. Customer C-WORKSHOP SINGAPORE
Add and edit the following Tax Codes details. Supplier D-SUPER INDONESIA
Tax Code V00 V10
Supplier E-OFFICE SINGAPORE
Description VAT 0% VAT 10%
Employee JOY INDONESIA
Goods & Goods &
Tax Type Employee KEN SINGAPORE
Services Tax Services Tax
Rate 0% 10%
Linked Account:
2-1100 2-1100
Tax Collected
VAT Collected VAT Collected
2-1200 2-1200
Tax Paid
VAT Paid VAT Paid
10. Setup the following Items List. 11. Setup the following Account Opening Balances.
Item# P1 P2 Account# Name Balance
1-0100 Cash Rp0
Name PRODUCT 1 PRODUCT 2
1-0110 Cash (USD) US$50
5-1000 5-1000
I Buy
COGS (Products) COGS (Products) 1-0111 Cash (USD) Exchange Rp499,950
4-1000 4-1000 1-0120 Bank (USD) US$200
I Sell
Sales (Products) Sales (Products)
1-0121 Bank (USD) Exchange Rp1,999,800
1-0300 1-0300
I Inventory 1-0150 Undeposited Funds Rp0
Inventory Inventory
1-0200 Trade Debtors Rp0
Buying Tax N-T N-T
1-0210 Trade Debtors (USD) US$110
Min. Level 1 1
Trade Debtors (USD)
1-0211 Rp1,099,890
Selling Price Rp100,000 Rp200,000 Exchange
Price Level 1-0300 Inventory Rp500,000
US$10 US$20
USD 1-2110 Office Equip at Cost Rp1,200,000
Selling Tax N-T N-T 1-2111 Office Equip Accum Depn (Rp100,000)
Unit UNIT UNIT 2-0100 Credit Card Rp0
2-0200 Trade Creditors Rp0
2-0210 Trade Creditors (USD) US$220
Item# P3 S1
Trade Creditors (USD)
2-0211 Rp2,199,780
Name PRODUCT 3 SERVICE 1 Exchange
5-1000 5-2000 2-1100 VAT Collected Rp100,000
I Buy
COGS (Products) COGS (Services) 2-1200 VAT Paid (Rp200,000)
4-1000 4-2000 2-1300 VAT Clearing Rp0
I Sell
Sales (Products) Sales (Services)
3-0100 Share Capital Rp3,000,000
1-0300
I Inventory - 3-0800 Retained Earnings Rp100,000
Inventory
Buying Tax N-T N-T
12. Setup the following Customer A/R Opening
Min. Level 1 Balances (Historical Sale).
Selling Price Rp300,000 Rp400,000 Customer Name B-SOLUTION
Price Level Terms Net 30
US$30 US$40
USD
Invoice# S-090001
Selling Tax N-T N-T
Date 31-12-2009
Unit UNIT UNIT
Customer PO# BSP-090001
Create the following Auto-Build Item for P3 Memo Pre-conversion sale
(PRODUCT 3) with the following formula: Total Including Tax US$110
13. Setup the following Supplier A/P Opening Balances 16. Enter the following Purchase: Items transaction.
(Historical Purchase). Supplier Name D-SUPER
Supplier Name D-SUPER Terms Net 30
Terms Net 30 Purchase# P-100001
PO# P-090001 Date 15-01-2010
Date 31-12-2009 Supplier Inv# DSS-100001
Supplier Inv# DSS-090001 Bill / Received 3 3
Memo Pre-conversion purchase Item# P1 P2
15. Exit, Back up, Open and Verify the Company File. Category O (OVERSEAS)
18. Enter the following Purchase: Returns & Debits 20. Enter the following Sale: Items transaction.
transaction, and Apply the Debit Amount to Customer Name B-SOLUTION
Purchase.
Terms Net 30
Supplier Name D-SUPER
Invoice# S-100001
Terms C.O.D.
Date 19-01-2010
Purchase# P-100003
Customer PO# BSP-100001
Date 17-01-2010
Ship 1 1
Supplier Inv# DSS-100001
Item# P1 S1
Bill/Received -1 (RETURN 1 UNIT)
Description PRODUCT 1 SERVICE 1
Item# P1
Unit Price
US$10 US$40
Description PRODUCT 1 (excl. tax)
Unit Price Job P S
US$5
(excl. tax) Tax Code V10 (VAT 10%) V10 (VAT 10%)
Tax Code V10 (VAT 10%)
Salesperson JOY
Journal Memo Purchase RETURN; D-SUPER
Category L (LOCAL)
Category L (LOCAL)
Exchange Rate Rp10,000 / US$
Exchange Rate Rp10,000 / US$
21. Enter the following Sale: Services transaction.
Apply to Purchase:
Customer Name C-WORKSHOP
ID # P-100003
Terms C.O.D.
Date 17-01-2010
Invoice# S-100002
Debit Amount US$5.50
Date 20-01-2010
Supplier's # DSS-100001
Date 15-01-2010 Customer PO# CWP-100001
Amount Applied US$5.50 Description WORKSHOP
Exchange Rate Rp10,000 / US$ Account# 4-2000 Sales (Services)
Amount
US$200
19. Enter the following Pay Bills transaction. (excl. tax)
Supplier Name E-OFFICE Job S
Account 2-0100 Credit Card Tax Code V00 (VAT 0%)
Cheque No. D-100001 Salesperson KEN
Date 18-01-2010 Category O (OVERSEAS)
Amount Paid US$100 Exchange Rate Rp10,000 / US$
Supplier's # EOS-100001
Date 16-01-2010
Amount Applied US$100
Exchange Rate Rp9,000 / US$
22. Enter the following Sale: Returns & Credits 23. Enter the following Receive Payments transaction.
transaction, and Apply the Credit Amount to Sales. Customer Name C-WORKSHOP
Customer Name C-WORKSHOP Deposit to Account 1-0110 Cash (USD)
Terms C.O.D. ID # R-100001
Invoice# S-100003 Date 21-01-2010
Date 21-01-2010 Amount Received US$180
Customer PO# CWP-100001 Invoice # S-100002
Date 20-01-2010
WORKSHOP - CASH PAYMENT
Description Amount Applied US$180
DISCOUNT 10%
Account# 4-2000 Sales (Services) Exchange Rate Rp9,000 / US$
Amount
-US$20 24. Enter the following Spend Money transaction.
(excl. tax)
Job S Account 1-0110 Cash (USD)
Category L (LOCAL)
Exchange Rate Rp9,000 / US$
26. Perform Bank Reconciliation for Account: "1-0120 28. On 31-01-2010, at US$ 1 = Rp9,000 calculate and
Bank (USD)". enter the Journal for:
On 31-01-2010, the Statement Balance is US$205.
a. Realised Forex Gains/Losses for Cash (USD) and
27. Enter the following Journal with Record Journal Bank (USD), (Save as G. Journal #: G-100003).
Entry in Accounts Command Centre.
a. Depreciation. b. Unrealised Forex Gains/Losses for Trade Debtors
G. Journal # G-100001
(USD) and Trade Creditors (USD), (Save as
G. Journal #: G-100004).
Date 31-01-2010
Memo DEPRECIATION (JAN 2010) On 01-02-2010, reverse G. Journal#: G-100004,
Date: 31-01-2010, the Unrealised Forex Gains/
Acct# Name Debit Credit Job Tax Losses for Trade Debtors (USD) and Trade Creditors
(USD), (Save as G. Journal #: G-100005).
6-3000 Depreciation Rp50,000 - N-T
1-2111
Office Equip
Rp50,000 - N-T
29. Enter the following Inventory Journal with
Accum Depn Auto-Build Items and Build Items in Inventory
Command Centre.
Category L (LOCAL)
a. Auto-Build Items.
I. Journal # I-100002
ADDITIONAL TASKS : Date 31-01-2010
Save above Depreciation Journal as Monthly
Memo INVENTORY AUTO-BUILD P3 = 2 UNIT
Recurring Transaction starting on 31-01-2010, and
use "Use Recurring" to record the transaction.
Item# Qty Unit Cost Amount Job
P3 2 Rp150,000 Rp300,000 -
b. VAT Clearing.
P1 -2 Rp50,000 (Rp100,000) -
G. Journal # G-100002
P2 -2 Rp100,000 (Rp200,000) -
Date 31-01-2010
Category L (LOCAL)
Memo VAT CLEARING (DEC 2009)
Acct# Name Debit Credit Job Tax b. Build Items (e.g. Exchange).
P1 -2 Rp50,000 (Rp100,000) -
P2 1 Rp100,000 Rp100,000 -
Category L (LOCAL)
30. Enter the following Inventory Journal with Adjust 31. Perform Company Data Audit and Lock the
Inventory in Inventory Command Centre. Accounting Period, to disallow entries prior to 1 Feb
a. Lost. 2010.
I. Journal # I-100004
32. Analysis:
Date 31-01-2010 Balance Sheet, Profit & Loss, Jobs, Cash Flow, Sales
Memo INVENTORY (LOST) (by Item), Sales (by Customer), Sales (by Employee),
Receivables, Payables and Inventory.
Item# Qty Unit Cost Amount A/c Job
33. Find Transactions:
P2 -1 Rp100,000 (Rp100,000) 5-1000 P by Account, by Card, by Item, by Invoice, by Bill,
by Category and by Job.
Category L (LOCAL)
34. Review To Do List for:
b. Found – Unit Cost Unknown. A/R, A/P, Recurring Transactions, Recurring Sales,
Recurring Purchases, Expiring Discounts, Orders,
I. Journal # I-100005
Stock Alert and Contact Alert.
Date 31-01-2010
INVENTORY (FOUND - UNIT COST 35. Display Reports for:
Memo Accounts, Banking, VAT/Sales Tax, Sales, (Time
UNKNOWN)
Billing), Purchases, Inventory and Card File.
Item# Qty Unit Cost Amount A/c Job
01
Setup: Currency Symbol & Date Format
Setup:
02
Company File
Setup:
03
Co. Info & Pref.
04
Setup:
Currencies List
05
Setup:
Accounts List
06
Setup:
Linked Accounts
07
Setup:
Tax Codes
Setup: 08
Jobs, Categories
& Price Levels
09 09 09
Setup: Setup: Setup:
Employee List Customer List Supplier List
Setup:
10
Items List
Setup : 11
Account
Opening Balances
Setup: 12
Customer
Opening Balances
Setup: 13
Supplier
Opening Balances
Setup: 14
Inventory
Opening Balances
15
Exit, Back up, Open & Verify: Company File
16
Purchases:
Items
Purchases:
17
Services
Purchases:
18
Returns & Debits
18 18
Receive Refund Apply to Purchase
19
Pay Bills
20
Sales:
Items
21
Sales:
Services
22
Sales:
Returns & Credits
22 22
Pay Refund Apply to Sale
23
Receive Payments
24
Spend Money
25
Receive Money
26
Reconcile Accounts
27
Journal Entry
Unrealiased 28
Gains/Losses
Journal Entry
29
Build Items
30
Adjust Inventory
31
Co. Data Auditor
& Lock Period
32 33 34 35
Analysis, Find Transactions, To Do List, Reports
1
SETUP: NOTE:
For Ms-Windows Vista, in Control Panel Home,
CURRENCY SYMBOL click Clock, Language, and Region.
PT. Net21Plus
Menara KADIN Indonesia, Lt.30,
Jl. H.R.Rasuna Said, X-5, Kav.2-3,
Jakarta Selatan. Indonesia 12950
Tel. (+62) (21) 5289 1988
Fax. (+62) (21) 5299 4599
E-mail : info@net21plus.com
Web : www.net21plus.com
note
To change the computer system Currency
Symbol and Date Format, you do not need
to change the computer Current Format:
English (United States) to another format.
2. From Regional and Languange Options - Format 4. Click Date tab menu and edit the Short date
tab menu, click "Customize this format...". format to “DD-MM-YYYY”, then click Apply and OK.
2
2. Click Next for the Introduction.
SETUP:
COMPANY FILE
4. Enter the Accounting Information. 7. Click Change to edit the name or location of the new
Current Financial Year: 2010, MYOB Company File (Save as: C:\MYOB DATA\MYOB-L2.
Last Month of Financial Year: December, MYO), then click Next to create the Company File.
Conversion Month: January,
Number of Accounting Periods: Thirteen (13),
then click Next.
3
Add address: INDONESIA into Company
Information.
SETUP:
COMPANY
INFORMATION &
PREFERENCES
PT. Net21Plus 2. From menu bar, select Setup > Preferences, then
Menara KADIN Indonesia, Lt.30,
Jl. H.R.Rasuna Said, X-5, Kav.2-3,
edit MYOB Preferences.
Jakarta Selatan. Indonesia 12950
Tel. (+62) (21) 5289 1988
Fax. (+62) (21) 5299 4599
E-mail : info@net21plus.com
Web : www.net21plus.com
d. Banking Preferences:
- Untick the option for Display Payee, Rather Than
Memo, in Registers.
b. Windows Preferences:
- Untick the option for Automatically Check
Spelling in Text Fields Before Recording
Transactions.
note
You need to remove "Include Currency
Symbols in Reports" option in Reports &
Forms Preferences setup, if you need to
display, print or send to Ms-Excel the MYOB
reports without currency symbols.
h. Security Preferences:
- Untick the option for Prompt for Session Report
When Closing.
- Tick the option for Check Company File for Errors
before the Backup Process.
note
To prevent your Company File from
being locked by MYOB Online Activation
System, please do not select "I Prefer to
Use Automated Online Company File
Confirmation [System-wide]" option.
note
User ID : STAFF
4
SETUP:
CURRENCIES LIST
2. Double-click the Local Currency Code: SGD 3. Click NEW to create the following new currency
(Singapore Dollars - Local), change the: code:
Local Currency Code to: IDR Currency Code: USD
Currency Name: Rupiah Currency Name: US Dollars
Currency Symbol: Rp Currency Symbol: US$
then click OK. then click OK.
note
1. To PREVENT ERRORS when recording foreign currency exchange rate in MYOB,
DO NOT CHANGE the Decimal Symbol (.), Digit Grouping Symbol (,), Number of Digits in Group (3) to any other
Symbol or Number.
2. Before exporting MYOB reports to Ms-Excel, remove the option for Include Currency Symbols in Reports,
from Setup > Preferences > Reports & Forms tab menu. Or else use Find & Replace function in Ms-Excel to
replace the Currency Symbols with blank. Without removing the currency symbols, you may not able to SUM
the amount of the MYOB reports in Ms-Excel.
5
2. Double-click Account Code: 2-0300 Payroll
Liabilities.
SETUP:
ACCOUNTS LIST
DELETE, EDIT, & CREATE
PT. Net21Plus
Menara KADIN Indonesia, Lt.30,
Jl. H.R.Rasuna Said, X-5, Kav.2-3,
Jakarta Selatan. Indonesia 12950
Tel. (+62) (21) 5289 1988
Fax. (+62) (21) 5299 4599
E-mail : info@net21plus.com
Web : www.net21plus.com
To edit an Account Code, note
you may also do it from:
a. Click the Arrow on the left of the Account
Code.
6. Click Asset tab menu, then click NEW to create Click on Details tab menu and change the
new account. Currency Code from IDR to USD.
10. Use Up or Down to adjust the Accounts Level. 11. Create the following Account Codes too.
Accounts List,
before removing the
Linked Account for
Currency Gains/Losses
( Account Code: 4-9999
Currency Gain Loss).
12. From menu bar, select Setup > Linked Accounts > Click OK for the following screen.
Accounts & Banking Accounts.
note
If the MYOB program do not have Combine
Accounts function, you can manually delete
the account "4-9999 Currency Gain Loss" from
Lists > Accounts > Income tab menu. But, you
need to make sure that you do not have any
transactions recorded for the account.
15. Remove all transactions from Secondary: 17. From menu bar, select Reports > Index to Reports,
“4-9999 Currency Gain Loss” account, and move click Accounts tab menu, and select Accounts List
all transactions to Primary: “8-2100 Realised Forex [Summary] report, then click Display.
Gain (Loss)” account.
6
SETUP:
LINKED ACCOUNTS
SALES & PURCHASES
7
SETUP:
TAX CODES
PT. Net21Plus
Menara KADIN Indonesia, Lt.30,
Jl. H.R.Rasuna Said, X-5, Kav.2-3,
Jakarta Selatan. Indonesia 12950
Tel. (+62) (21) 5289 1988
Fax. (+62) (21) 5299 4599
E-mail : info@net21plus.com
Web : www.net21plus.com 2. Add Tax Code: V00, Description: VAT 0%
Tax Type: Goods & Services Tax, Rate: 0%.
Linked Account for:
Tax Collected: 2-1100 VAT Collected
Tax Paid: 2-1200 VAT Paid,
then click OK.
note
USE V00 or V10 tax code for any transactions that
related to the GST Reports (VAT Reports).
USE N-T tax code for any other transactions that
not related to the GST Reports (VAT Reports).
Always Create and Use New Tax Code for New Tax
Rate, instead of changing the Rate %.
SETUP:
JOBS, CATEGORIES
& PRICE LEVELS
PT. Net21Plus
Menara KADIN Indonesia, Lt.30,
Jl. H.R.Rasuna Said, X-5, Kav.2-3,
Jakarta Selatan. Indonesia 12950
Tel. (+62) (21) 5289 1988
Fax. (+62) (21) 5299 4599
E-mail : info@net21plus.com
Web : www.net21plus.com
3. From menu bar, select Lists > Categories. 5. From menu bar, select Lists > Custom List & Field
Names > Price Levels.
note
You may also use the Name of Price Levels
for other purpose, like:
Name of Price Level C : Retail Price
Name of Price Level D : Member Price
Name of Price Level E : Reseller Price
Name of Price Level F : Distributor Price
9
2. Click NEW and enter the following Cards details.
a. Customers (USD)
SETUP:
CARDS LIST
CUSTOMER, SUPPLIER & EMPLOYEE
PT. Net21Plus
Menara KADIN Indonesia, Lt.30,
Jl. H.R.Rasuna Said, X-5, Kav.2-3,
Jakarta Selatan. Indonesia 12950
Tel. (+62) (21) 5289 1988
Fax. (+62) (21) 5299 4599
E-mail : info@net21plus.com
Web : www.net21plus.com
c. Employees (USD)
b. Suppliers (USD)
10
2. Click NEW and enter the following Item details.
a. P1 (PRODUCT 1)
SETUP:
ITEMS LIST
PT. Net21Plus
Menara KADIN Indonesia, Lt.30,
Jl. H.R.Rasuna Said, X-5, Kav.2-3,
Jakarta Selatan. Indonesia 12950
Tel. (+62) (21) 5289 1988
Fax. (+62) (21) 5299 4599
E-mail : info@net21plus.com
Web : www.net21plus.com
c. P3 (PRODUCT 3)
b. P2 (PRODUCT 2)
d. S1 (SERVICE 1)
note
Business Type
Accounts List
provided by
MYOB.
11
2. Enter the following Account Opening Balances
details.
SETUP:
ACCOUNT
OPENING
BALANCES
PT. Net21Plus
Menara KADIN Indonesia, Lt.30,
Jl. H.R.Rasuna Said, X-5, Kav.2-3,
Jakarta Selatan. Indonesia 12950
Tel. (+62) (21) 5289 1988
Fax. (+62) (21) 5299 4599
E-mail : info@net21plus.com
Web : www.net21plus.com
note
Sample of
Accounts List
provided
by MYOB
for
Distributor
Business
Type.
12
SETUP: 2. Click Add Sale and enter the following Historical
Sale details.
CUSTOMER
OPENING
BALANCES
PT. Net21Plus
Menara KADIN Indonesia, Lt.30,
Jl. H.R.Rasuna Said, X-5, Kav.2-3,
Jakarta Selatan. Indonesia 12950
Tel. (+62) (21) 5289 1988
Fax. (+62) (21) 5299 4599
E-mail : info@net21plus.com
Web : www.net21plus.com
3. Use Ctrl + R to review the Recap Transaction, then 4. Confirm the Out of Balance Amount is ZERO, then
click OK and Record click Close.
note
To record the transaction without job
numbers, click OK for following screens.
13
SETUP: 2. Click Add Purchase and enter the following
Historical Purchase details.
SUPPLIER
OPENING
BALANCES
PT. Net21Plus
Menara KADIN Indonesia, Lt.30,
Jl. H.R.Rasuna Said, X-5, Kav.2-3,
Jakarta Selatan. Indonesia 12950
Tel. (+62) (21) 5289 1988
Fax. (+62) (21) 5299 4599
E-mail : info@net21plus.com
Web : www.net21plus.com
3. Use Ctrl + R to review the Recap Transaction, then 4. Confirm the Out of Balance Amount is ZERO, then
click OK and Record. click Close.
note
To record the transaction without job
numbers, click OK for following screens.
14
SETUP: 2. Enter the following Count Inventory details.
INVENTORY
OPENING
BALANCES
PT. Net21Plus
Menara KADIN Indonesia, Lt.30,
Jl. H.R.Rasuna Said, X-5, Kav.2-3,
Jakarta Selatan. Indonesia 12950
Tel. (+62) (21) 5289 1988
Fax. (+62) (21) 5299 4599
E-mail : info@net21plus.com
Web : www.net21plus.com
15
Back up Option.
PT. Net21Plus
Menara KADIN Indonesia, Lt.30, 3. Select the location to save the Back up file. Name
Jl. H.R.Rasuna Said, X-5, Kav.2-3, the file as PRM0101.ZIP, then click Save.
Jakarta Selatan. Indonesia 12950
Tel. (+62) (21) 5289 1988
Fax. (+62) (21) 5299 4599
E-mail : info@net21plus.com
Web : www.net21plus.com
4. Open MYOB program, then click Open your 6. From Sign-on window, choose Multi-user Access
company file. with TCP/IP as the Network Protocol.
note
From MYOB Accounting v17 and MYOB Premier
v11, MYOB use ".MYO" for the Company File
extension.
Before that MYOB use ".DAT" for MYOB Accounting
and ".PRM" for MYOB Premier Company File
extension.
8. Select “I want to activate my company file 9. Click Yes for the Company File Verification.
later”, then click Continue, from Company File
Activation.
note
Sample of
Accounts List
provided
by MYOB
for
Manufacturing
Business
Type
16
2. Untick Tax Inclusive option, select purchase type:
BILL, and Supplier: D-SUPER,
PURCHASES: change Layout to Item.
ITEMS
PT. Net21Plus
Menara KADIN Indonesia, Lt.30,
Jl. H.R.Rasuna Said, X-5, Kav.2-3,
Jakarta Selatan. Indonesia 12950
Tel. (+62) (21) 5289 1988
Fax. (+62) (21) 5299 4599
E-mail : info@net21plus.com
Web : www.net21plus.com
3. Enter the following Purchase details. 4. Use Ctrl + R to review the Recap Transaction, then
Purchase #: P-100001, Date: 15-01-2010, click OK and Record.
Supplier Inv#: DSS-100001, Terms: NET 30.
note
When you Tick Warn if Jobs Are Not Assigned
to All Transactions option in System
Preferences, the following screens will always
pop-up, if Jobs are not assigned to the
transaction.
17
2. Untick Tax Inclusive option, select purchase type:
BILL, and Supplier: E-OFFICE,
PURCHASES: change Layout to Service.
SERVICES
PT. Net21Plus
Menara KADIN Indonesia, Lt.30,
Jl. H.R.Rasuna Said, X-5, Kav.2-3,
Jakarta Selatan. Indonesia 12950
Tel. (+62) (21) 5289 1988
Fax. (+62) (21) 5299 4599
E-mail : info@net21plus.com
Web : www.net21plus.com
18
2. Untick Tax Inclusive option, select purchase type:
BILL, and Supplier: D-SUPER,
PURCHASES: change Layout to Item.
PT. Net21Plus
Menara KADIN Indonesia, Lt.30,
Jl. H.R.Rasuna Said, X-5, Kav.2-3,
Jakarta Selatan. Indonesia 12950
Tel. (+62) (21) 5289 1988
Fax. (+62) (21) 5299 4599
E-mail : info@net21plus.com
Web : www.net21plus.com
3. Enter the following Purchase details. 4. Use Ctrl + R to review the Recap Transaction, then
Purchase #: P-100003, Date: 17-01-2010, click OK and Record.
Supplier Inv#: DSS-100001, Terms: C.O.D.
note
MYOB will not allow you to record the
transaction, if the Purchase Debits will cause
the Inventory Value at less than $0.00.
5. From Purchases Command Centre, click Purchases 7. Apply the Purchase Debit to:
Register. Supplier’s#: DSS-100001, Date: 15-01-2010,
use the same ID# (P-100003) and
same Date (17-01-2010) with the Purchase Debit.
note
Better to use back the same PO# and Date of Purchase Debit as the Settle Returns & Debits ID#
and Date, because Settle Returns & Debits transaction will be recorded as Purchase Journal
transaction.
19
2. Select the Supplier: E-OFFICE, and select the Pay
Bills Account: 2-0100 Credit Card.
IMPORTANT!
PAY BILLS Always select the Supplier, before select the Pay
Bills Account.
PT. Net21Plus
Menara KADIN Indonesia, Lt.30,
Jl. H.R.Rasuna Said, X-5, Kav.2-3,
Jakarta Selatan. Indonesia 12950
Tel. (+62) (21) 5289 1988
Fax. (+62) (21) 5299 4599
E-mail : info@net21plus.com
Web : www.net21plus.com
note
To edit the Pay Bills transaction,
from menu bar, select Edit > Delete Payment,
then re-apply the Pay Bills.
20
2. Untick Tax Inclusive option, select sale type:
INVOICE, and Customer: B-SOLUTION,
change Layout to Item.
SALES:
ITEMS
PT. Net21Plus
Menara KADIN Indonesia, Lt.30,
Jl. H.R.Rasuna Said, X-5, Kav.2-3,
Jakarta Selatan. Indonesia 12950
Tel. (+62) (21) 5289 1988
Fax. (+62) (21) 5299 4599
E-mail : info@net21plus.com
Web : www.net21plus.com
3. Enter the following Sale details. 4. Use Ctrl + R to review the Recap Transaction, then
Invoice #: S-100001, Date: 19-01-2010, click OK and Record.
Cust. PO #: BSP-100001, Terms: Net 30.
note
21
2. Untick Tax Inclusive option, select sale type:
INVOICE, and Customer: C-WORKSHOP,
change Layout to Service.
SALES:
SERVICES
PT. Net21Plus
Menara KADIN Indonesia, Lt.30,
Jl. H.R.Rasuna Said, X-5, Kav.2-3,
Jakarta Selatan. Indonesia 12950
Tel. (+62) (21) 5289 1988
Fax. (+62) (21) 5299 4599
E-mail : info@net21plus.com
Web : www.net21plus.com
22
2. Untick Tax Inclusive option, select sale type:
INVOICE, and Customer: C-WORKSHOP,
SALES: change Layout to Service.
RETURNS &
CREDITS
PT. Net21Plus
Menara KADIN Indonesia, Lt.30,
Jl. H.R.Rasuna Said, X-5, Kav.2-3,
Jakarta Selatan. Indonesia 12950
Tel. (+62) (21) 5289 1988
Fax. (+62) (21) 5299 4599
E-mail : info@net21plus.com
Web : www.net21plus.com
5. From Sales Command Centre, click Sales Register. 7. Apply the Sale Credit to
Invoice #: S-100002, Date: 20-01-2010,
use the same ID# (S-100003) and
same Date (21-01-2010) with the Sale Credit.
note
Better to use back the same Invoice# and Date of Sale Credit as the Settle Returns & Credits
ID# and Date, because Settle Returns & Credits transaction will be recorded as Sales Journal
transaction.
23
2. Select the Customer: C-WORKSHOP, and select the
Deposit to Account: 1-0110 Cash (USD).
PT. Net21Plus
Menara KADIN Indonesia, Lt.30,
Jl. H.R.Rasuna Said, X-5, Kav.2-3,
Jakarta Selatan. Indonesia 12950
Tel. (+62) (21) 5289 1988
Fax. (+62) (21) 5299 4599
E-mail : info@net21plus.com
Web : www.net21plus.com
note
To edit the Receive Payments transaction,
from menu bar, select Edit > Delete Payment,
then re-apply the Receive Payments.
24
2. Change the Currency Code: IDR to USD, and the
Exchange Rate to Rp 9,000.
SPEND MONEY
PT. Net21Plus
Menara KADIN Indonesia, Lt.30,
Jl. H.R.Rasuna Said, X-5, Kav.2-3,
Jakarta Selatan. Indonesia 12950
Tel. (+62) (21) 5289 1988
Fax. (+62) (21) 5299 4599
E-mail : info@net21plus.com
Web : www.net21plus.com
3. Select the
Spend Money Account: 1-0110 Cash (USD).
Enter the following Spend Money details.
Cheque No.: D-100002, Date: 22-01-2010,
Amount: US$110.
Memo: CREDIT CARD PAYMENT & BANK CHARGES.
25
2. Change the Currency Code: IDR to USD, and the
Exchange Rate to Rp 9,000.
RECEIVE MONEY
PT. Net21Plus
Menara KADIN Indonesia, Lt.30,
Jl. H.R.Rasuna Said, X-5, Kav.2-3,
Jakarta Selatan. Indonesia 12950
Tel. (+62) (21) 5289 1988
Fax. (+62) (21) 5299 4599
E-mail : info@net21plus.com
Web : www.net21plus.com
note
In Receive Money, you are allowed to enter negative
amount for the Receive Money Details and Total
Amount.
But in Spend Money, you are not allowed to enter
negative amount for the Total Amount.
To record negative Total
Amount in Spend Money,
enter negative amount for
the Spend Money Detail,
then click Record and OK
for the following screen.
26
2. Select the Reconcile Account: 1-0120 Bank (USD).
Enter Bank Statement Date: 31-01-2010,
RECONCILE New Statement Balance: US$ 205.
ACCOUNTS
PT. Net21Plus
Menara KADIN Indonesia, Lt.30, 3. Tick the transaction that match with the Bank
Jl. H.R.Rasuna Said, X-5, Kav.2-3, Statement. Click , to Tick All or Untick All the
Jakarta Selatan. Indonesia 12950
Tel. (+62) (21) 5289 1988 transactions. Click Reconcile.
Fax. (+62) (21) 5299 4599
E-mail : info@net21plus.com
Web : www.net21plus.com
27
2. Enter the following Journal Entry details.
General Journal #: G-100001,
Date: 31-01-2010,
Memo: DEPRECIATION (JAN 2010).
JOURNAL ENTRY
PT. Net21Plus
Menara KADIN Indonesia, Lt.30, a. Click Save as Recurring, to save the
Jl. H.R.Rasuna Said, X-5, Kav.2-3,
Jakarta Selatan. Indonesia 12950 current Journal Entry as recurring transaction.
Tel. (+62) (21) 5289 1988 b. Enter the Recurring Schedule >
Fax. (+62) (21) 5299 4599
E-mail : info@net21plus.com Starting on: 31-01-2010, then click Save.
Web : www.net21plus.com
c. From menu bar, select Lists > Recurring 4. From Accounts Command Centre, click Record
Transactions to use the Recurring Journal Entry.
Transactions.
28
UNREALISED
GAINS/LOSSES
JOURNAL ENTRY
3. From menu bar, select Reports > Index to Reports, 5. From Accounts Command Centre, click Record
click Accounts report tab menu, and select Journal Entry.
Currency > Unrealised Gain/Loss report, then click
Customise.
8. From Accounts Command Centre, click Record 10. Use Ctrl + R to review the Recap Transaction, then
Journal Entry. click OK and Record.
9. Enter the following Journal Entry details. 11. To reverse the UNREALISED GAINS/LOSSES Journal
General Journal #: G-100004, Date: 31-01-2010, Entry, from menu bar, select Setup > Preferences
Memo: UNREALISED GAINS/LOSSES (JAN 2010) > Security tab menu, then Tick “Transaction CAN’T
FOR TRADE DEBTORS & TRADE CREDITORS be Changed; They Must be Reversed” option.
To display the Foreign Currencies Accounts Receivables or Payables Balance Sheet amount and
Receivables or Payables Reconciliation amount in Local Currency correctly, first you need to
note
record the Unrealised
Gains/Losses Journal for
your Foreign Currencies
Accounts Receivables
or Accounts Payables.
12. From Accounts Command Centre, click Transaction 15. Use Ctrl + R to review the Recap Transaction, then
Journal, and select the click OK and Record.
Dated From: 31-01-2010 To: 31-01-2010,
to review the General Journal Transaction.
Click the UNREALISED GAINS/LOSSES Journal
Entry (ID#: G-100004).
29
2. Enter the Qty to Build: P3 = 2 unit, then click Build
Items.
BUILD ITEMS
PT. Net21Plus
Menara KADIN Indonesia, Lt.30, 3. Enter and confirm the following Auto-Build Items
Jl. H.R.Rasuna Said, X-5, Kav.2-3, details. Inventory Journal Number: I-100002,
Jakarta Selatan. Indonesia 12950
Tel. (+62) (21) 5289 1988
Date: 31-01-2010, Memo: INVENTORY AUTO-BUILD
Fax. (+62) (21) 5299 4599 P3 = 2 UNIT.
E-mail : info@net21plus.com
Web : www.net21plus.com
4. Use Ctrl + R to review the Recap Transaction, then 5. From Inventory Command Centre, click Build
click OK and Record. Items.
30
2. Enter the following Adjust Inventory details.
Inventory Journal Number: I-100004,
ADJUST Date: 31-01-2010, Memo: INVENTORY (LOST).
INVENTORY
4. From Inventory Command Centre, click Adjust 7. From Inventory Command Centre, click Adjust
Inventory. Inventory.
5. Enter the following Adjust Inventory details. 8. Enter the following Adjust Inventory details.
Inventory Journal Number: I-100005, Inventory Journal Number: I-100006,
Date: 31-01-2010, Memo: INVENTORY (FOUND – Date: 31-01-2010, Memo: INVENTORY (UNIT COST
UNIT COST UNKNOWN). ADJUSTMENT).
6. Use Ctrl + R to review the Recap Transaction, then 9. Use Ctrl + R to review the Recap Transaction, then
click OK and Record. click OK and Record.
31
2. From Company File Overview, click Lock Period.
COMPANY DATA
AUDITOR &
LOCK PERIOD
32
ANALYSIS
PT. Net21Plus
Menara KADIN Indonesia, Lt.30,
Jl. H.R.Rasuna Said, X-5, Kav.2-3,
Jakarta Selatan. Indonesia 12950
Tel. (+62) (21) 5289 1988
Fax. (+62) (21) 5299 4599
E-mail : info@net21plus.com
Web : www.net21plus.com
6. Analyse Receivables.
7. Analyse Payables.
8. Analyse Inventory.
33
2. Find Transactions - By Card.
FIND
TRANSACTIONS
note
7. Find Transactions - By Job.
34
2. To Do List - A/P (Accounts Payable).
TO DO LIST
35
REPORTS
PT. Net21Plus
Menara KADIN Indonesia, Lt.30,
Jl. H.R.Rasuna Said, X-5, Kav.2-3,
Jakarta Selatan. Indonesia 12950
Tel. (+62) (21) 5289 1988
Fax. (+62) (21) 5299 4599
E-mail : info@net21plus.com
Web : www.net21plus.com
note
Products Comparison
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Universitas Indonesia, Depok Prog. Diploma Ekonomika dan Bisnis SV UGM, Yogyakarta
Trisakti School of Management, Jakarta SMK Negeri 2 Bandar Lampung, Bandar Lampung
STIE Indonesia Banking School, Jakarta and many other universities, politechnics & schools...
MYOB
Certified Consultant
GOLD Award
For The Year 2005
MYOB
TOP International
Professional Partner
For The Year 2008
MYOB
Professional Partner
GOLD Award
For The Year 2009
MYOB
Professional Partner
Since Year 2003
ADDRESS
PHONE / HP / SMS
NOTES
Signature:
Gaining scale
MYOB began as both a software developer and re-publisher in the Asia-Pacific region. Success in helping
empower business owners was recognised through rapid growth in clients and revenue. This growth was fuelled
by recommendations from existing clients and this remains an important source of business today - testament
to the quality of MYOB products and client service. In 1996 MYOB received the prestigious Telstra and Australian
Governments’ Small Business of the Year Award, an awards program that MYOB now sponsors to support and
encourage today’s business owners.
Today
MYOB is now the leading provider of business systems to small and medium sized businesses in Australia and New
Zealand, delivering business solutions to more than 700,000 businesses and accounting firms in the Asia-Pacific
region. Throughout 17 years of solid growth, the client centric vision of the company remains the same today as the
day its founders began their quest to empower business owners with products and services to make business life
easier and more rewarding. Now operating in five countries across Asia-Pacific, it’s an international team that
powers the business, but it’s the local knowledge and expertise that delivers the edge for the clients.
(source: http://www.myob.com)
ISBN 978-981-08-5991-6