FINANCIAL MANAGEMENT SCHOOL U.S. ARMY SOLDIER SUPPORT INSTITUTE

Slides:



Advertisements
Similar presentations
ADMINISTRATION Information Technology for Administrators SPREADSHEETS Click To Continue.
Advertisements

ENGLISH AS A SECOND LANGUAGE PRESCRIPTION SYSTEM.
This tutorial will take approximately 15 minutes. Click here to advance. Click here to go back.
Personal Finance.  Four common Financial Institutions  Commercial banks  Savings and loan associations (S&Ls)  Credit Unions  Brokerage Firms.
© Thomson/South-WesternSlideCHAPTER 231 BANKING AND CREDIT 23.1Financial Institutions 23.2Checking Accounts 23.3Credit and Its Use Chapter 23.
1. Definition of a Reconciliation 2. Importance of a Reconciliation 3. When to Prepare a Reconciliation 4. Items Needed to Prepare a Reconciliation 5.
Quick Start Guide. This 22 page introduction to the Financial Assessment Subsystem provides the user with a visual overview of the components of the system.
UK HealthCare’s New Learning Management System (LMS)
Banking and Finance Business and Computer Science Mr. Dukes.
FETS Financial Exchange Transaction System OFFICE OF SCHOOL FINANCIAL SERVICES 1.
Banner Web for Finance Want to print reports for your department? Need reports for a specific period? Want to compare this fiscal year to the last fiscal.
SAM 2010 v1.5 Student Walkthrough. Initial Set Up 1.Ensure that you are connected to the Internet. 2.Launch your web browser (Internet Explorer 7 or 8,
NextGen Month End & Fiscal Year End Local Government Corporation.
Once you have located the ISBN you would like to purchase, click “Add to Cart”. You will get a pop-up window showing the item you’ve added. If you are.
Query Module Self-Training Module (v. 23-Apr-2013) International Nutrition Survey 2013.
© 2003 SOUTH-WESTERN PUBLISHINGCHAPTER 23Slide 1 CHAPTER 23 BANKING AND CREDIT 23.1Financial Institutions 23.2Checking Accounts 23.3Credit and Its Use.
Vendor’s Malt Manufacturing Return. Log in with the user id and password provided through the EDS registration process and click on the Login button.
Data Verification and Validation
Local Government Corporation Resource 2016 NextGen Trustee Year End.
Finance Committee Update
Submission Process.
Chapter 3 Beginning Balances and October Transaction Register
TScore Trampoline Scoring and Competition Organiser
ANSWER SHEET 1 1.
Chapter 8 Completing the Accounting Cycle
BASIC AND SPECIAL PAYS PRACTICAL EXERCISE #1 UNITED STATES ARMY
FINANCIAL MANAGEMENT SCHOOL
Financial Management Advance Leaders Course
FINANCIAL MANAGEMENT SCHOOL
FINANCIAL MANAGEMENT SCHOOL
FINANCIAL MANAGEMENT SCHOOL
FINANCIAL MANAGEMENT SCHOOL
NextGen Trustee Class Fiscal Year End
Complete the missing numbers using the inverse.
Prepare Income Statement and Balance Sheet According to Accrual Basis
UNITED STATES ARMY FINANCIAL MANAGEMENT SCHOOL
Student Answer Booklet
UNITED STATES ARMY FINANCIAL MANAGEMENT SCHOOL
UNITED STATES ARMY FINANCIAL MANAGEMENT SCHOOL
Getting Started: BCeID Sign Up
UNITED STATES ARMY FINANCIAL MANAGEMENT SCHOOL
FINANCIAL MANAGEMENT SCHOOL SOLUTIONS
FINANCIAL MANAGEMENT SCHOOL U.S. ARMY SOLDIER SUPPORT INSTITUTE
Industry-Recognized Certifications Webinar
FINANCIAL MANAGEMENT SCHOOL
Accessing the Test: Logging In
The Student Experience
Exchange Transactions- ECC Sale & Loads
Exchange Transactions- ECC Sale & Loads
FAFSA on the Web for Effective January 1, 2009.
DETERMINE ENTITLEMENT TO PAY AND ALLOWANCES
Issue EagleCash Card PRACTICAL EXERCISE #1 Student Answer Booklet
UNITED STATES ARMY FINANCE SCHOOL
PRACTICAL EXERCISE #3 Determine Entitlement to Pay and Allowances
DETERMINE ENTITLEMENT TO PAY AND ALLOWANCES
College and Career Readiness Alternate Assessment
Local Government Corporation
Reconciliation Copyright © Texas Education Agency, All rights reserved.
ANSWER SHEET 1 1.
Cashier/Agent Operations for
PRACTICAL EXERCISE #3 Determine Entitlement to Pay and Allowances
UNITED STATES ARMY FINANCIAL MANAGEMENT SCHOOL
Dual Credit Application Instructions
Dual Credit Application Instructions
BASIC AND SPECIAL PAYS PRACTICAL EXERCISE #1 UNITED STATES ARMY
FINANCIAL MANAGEMENT SCHOOL U.S. ARMY SOLDIER SUPPORT INSTITUTE
SECTION 5-3 Account Statements pp
Karlandrea Hernandez Ponce
Accessing the Test: Logging In
Process Personnel Strength Accountability Updates Practical exercise
Presentation transcript:

FINANCIAL MANAGEMENT SCHOOL U.S. ARMY SOLDIER SUPPORT INSTITUTE UNITED STATES ARMY FINANCIAL MANAGEMENT SCHOOL U.S. ARMY SOLDIER SUPPORT INSTITUTE Practical Exercise #1 Exchange Transactions FOR Perform Cashier Functions in DDS Jan 2012

SPECIAL INSTRUCTIONS: STUDENT INSTRUCTIONS OBJECTIVE: This practical exercise measures your ability to input exchange transactions correctly into DDS. MATERIALS NEEDED: 1. Computer loaded with DDS Software. 2. Practical Exercise Booklet. 3. DDS Cashier Input Guide. 4. Pen/Pencil. 5. Calculator. 6. Classroom notes. INSTRUCTIONS: a. This exercise booklet contains 20 exchange transactions for you to input. Check your booklet now and if you are missing any portion or if it is illegible, obtain a new booklet from your instructor. b. You have 2 class periods to complete this exercise. You may take a break at any time, however, do not take exercise materials out of the classroom. c. You will continue to use your BEGINNING BALANCE DDS load from the Instruction portion of the lesson to input the Exchange Transactions. All exercise requirements have only one correct entry. Make sure your answer is correct before saving. If you make a mistake or wish to change your answer after saving, “BACKOUT” the transaction and enter your new response. When backing out a transaction follow the steps in the input guide. Your instructor/proctor will have the administrative password needed to complete the process. All certifications will be done “EXTERNALLY” for classroom purposes. d. ALL WORK ON THIS EXERCISE MUST BE ON YOUR OWN. You may NOT communicate with other students, have or receive assistance, or make a record of your answers anywhere but on your answer sheet. Failure to follow these instructions will result in the appropriate disciplinary action being taken. e. Your instructor will advise you what to do when you complete of this practice exercise. SPECIAL INSTRUCTIONS: You are a cashier at the 23rd Finance BN Forward, Main Site. You have received an advance of funds and confirmed it. You are now ready to begin inputting transactions. Input all transactions correctly. . Today's Business date is : 30 October 2009 (A). Use 28 October 2009 for all checks. 28-Nov-18 i

Practical Exercise# 1 Exchange Transactions Student Note: The DATE to use for all checks will be given to you by the instructor/proctor, prior to beginning the exercise. 28-Nov-18 1