LAB 0
LAB 0
NOTE: The initial username and password will be changed in system set up. The
default username and password is Super User to allow for full system set up.
Across the top are the navigation drop downs. The Mifos logo will return the user to
the Welcome Page from anywhere in the system. Overview:-
Clients, Groups and Centers - drop down will be used to access individual
accounts, groups and centers.
Accounting - drop down opens the menu to access the system tools required by the
accounting departments.
Reports - Drop down provides access to all areas of system reports including the
default reports provided in the Mifos download and custom reports that will be
developed by the organization.
Administration - This is where the system is set up including users, organization,
products and templates.
Global Search - This will allow the user to quickly navigate the system.
Mifos dropdown. - This will have settings, profile and help.
The next step in configuration is to set up your organization. Begin at the main
screen, click on Admin then select Organization.
Review the information entered and if it is all correct, click on the Submit button.
The head office is now created.
3) Configure Currency:
Currency Configuration - Return to the Admin/Organization Screen.
Select Currency Configuration. Click on the +Add/Edit button. Enter your local
currency, then press Submit.
4) Define Holidays:
Return to the Admin/Organization screen and Select Manage Holidays.
If the holiday affects the entire organization, select Head Office in the drop down
menu located on the left top screen. If the holiday being created affects only one
office, select that office name, which we have described as "branch office" here.
Click on the +Create Holiday button. Next, fill in the dates of the holiday, name of
the holiday, along with brief description.
Take note that the fields with asterisk (*) are required.
Expand the box next to Applicable office. The full list of offices will display. Click
on each office affected by the holiday.
Review the information for accuracy, then click on Submit.
The Holiday will go into a "Pending for activation" status. An authorized user must
review the holiday and activate it in the system.
5) Create Employees:
Return to the Admin/Organization Screen and select Manage Employees -
Click the blue Create Employee button at the top-right of the page to create a new
employee.
Take note that the fields with asterisk (*) are required.
Other Organization features will be used later in system set up and use.
Bulk Loan Reassignment - this is an operational field that allows the organization
to reassign all loans from one loan officer to another. This field will be used in day-to-
day operations. No initial set up is required.
Standing Instruction History - this will be used to track and search for standing
transaction history.
Teller/Cash Management - this will be used to assign users to a cash drawer.
The Application table name field will provide a drop down of system functions the
data table will affect. For example, if you are adding fields that will impact the Client
level, click on Client.
Add Columns, enter name, from drop down select type (DBH - write this properly &
tie in to pre config guide)
Codes are mostly system defined which means the code itself comes out of the box
and cannot be modified. However, its code values can be. e.g. 'Customer Identifier',
it defaults to a code value of "Passport" but could be "Drivers License", "National Id"
or any other ID acceptable to your organization.
Review the list of system defined codes, then edit as needed for your operations.
For more information on code configuration, see Manage Codes.
9) Define Roles & Permissions:
Return to the Admin/System Screen, then select Manage Roles and Permissions
Using the Pre-Configuration Guide, proceed through each function and click on the
system privileges allowed by the position. It is important to take care when setting
up User Roles as these will be used when setting up each individual employee.
In this example, an Operations Manager will be allowed to allocate cashier cash,
create teller, etc. They will not be able to do any other loan transactions.
10) Create Users :
Return to the Admin Screen and select Users
13) Accounting:
To access the Accounting menu and the options within, click on
the Accounting button on the top of the screen:
To Enable Accounting Module you need to follow the mandatory step by step
instructions below before you do any transaction:-
Step 1) Create chart of accounts - Chart of Accounts - General Ledger Setup.
Step 2) Map opening balance contra account in - Accounts linked to Financial
Activities
Step 3) Pass opening balance entries - Migrate opening balances(Office wise)
Step 4) Map your products with respective accounts - Once the Products are defined,
come back to this section and follow the steps.
Products are set up once and are then available to qualifying clients (individuals,
groups, and centers).
To define Products click on respective mentioned links below:
Loan Products
Savings Products (current and saving accounts)
Fixed Deposit Products
Recurring Deposit
Others:-
Setting up your Fund Source:
Return to the Admin/Organization Screen and select Manage Funds.
If your organization has funds that are to be used for specific lending purposes, the
names are defined here. In the example below the new fund "Rotary Internal
Agriculture Loan 2014" has been entered into the "New Fund" field. Loans that are
made to customer that fall into this category will link to the fund to enable the
organization to properly monitor fund use and to provide reports. After the fund
name has been entered, click on the "+" to add the fund to the list.
There are numerous reports within the Mifos X system. Many are core reports that
are pre-installed for your organization. Existing reports can be customized and new
reports written. For details regarding report generation, see the Manage
Reports section.