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Published byBranden Stephens Modified over 9 years ago
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Advanced Accounting In WebTMA Luis Pino or JT Young TMA Systems
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Advanced Accounting – WebTMA Account defaults (Client and Repair Center) Billing option on forms and lines Billing process – Sub ledger (Enterprise) – General Ledger UFI Tiered Billing Process
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Advanced Accounting WebTMA Account defaults – Linked Accounts (Client and RC windows)
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Advanced Accounting WebTMA Billing Tab Functions (split billing) – Fixed – Actual – Split Billing Non-Enterprise – Manual Split – User-entered distributions – Automatic Split – Labor, Parts & Other sub-accounts Enterprise – Multi-Tier Billing – Percentage & Limit Billing
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Advanced Accounting WebTMA Journal Entries – Journal Entries represent a postable transaction – All journal entries are inherently chargeable – All journal entries are eligible to be posted to the sub-ledger and the general ledger – Once posted, the entry cannot be modified.
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Advanced Accounting WebTMA Billing process – Sub ledger (Enterprise only) – General Ledger
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Advanced Accounting WebTMA Tiered Accounts – When you use split billing, new functionality offers a tiered set of accounts on the Billing Info Tab. With tiered accounts, you have more control over when each account is applied. – For multiple accounts and tiers, you choose the sequence that determines when each tier is applied as well as the sequence in which accounts are applied within each tier. Estimate Tier 1 Account 1 50% $300 (Fund Amt) Account 2 50% $300 (Fund Amt) Estimate Tier 2 Account 3 50% Account 4 50% Change Order Tier 1 Account 5 100% After Posting, $1,000 is distributed as follows: Account 1 $300 Account 2 $300 Account 3 $200 Account 4 $200 Estimate Tier 1 Account 1 50% $300 (Fund Amt) Account 2 50% $300 (Fund Amt) Estimate Tier 2 Account 3 50% Account 4 50% Change Order Tier 1 Account 5 100% After Posting, $1,000 is distributed as follows: Account 1 $300 Account 2 $300 Account 3 $200 Account 4 $200
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Advanced Accounting WebTMA Billing Process – Sub ledger (Enterprise only)
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Advanced Accounting WebTMA Billing Process – General Ledger
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Advanced Accounting WebTMA Universal Financial Interface (UFI) – Service (Application) – Setup – Segment – Template Setup – Template Assignment – Regenerate Output
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Advanced Accounting WebTMA Universal Financial Interface (UFI) – UFI Configuration App
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Advanced Accounting WebTMA Universal Financial Interface (UFI) – Setup
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Advanced Accounting WebTMA Universal Financial Interface (UFI) – Segment
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Advanced Accounting WebTMA Universal Financial Interface (UFI) – Template Setup
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Advanced Accounting WebTMA Universal Financial Interface (UFI) – Template Assignment
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Advanced Accounting WebTMA Universal Financial Interface (UFI) – Regenerate Output
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Advanced Accounting WebTMA Universal Procurement Interface (UPI) The UPI module is used to transfer the procurement information held in WebTMA's Materials Management module between WebTMA and your financial Enterprise Resource Planning application (ERP). – Export Purchase Requisitions and Receivings from WebTMA to the ERP – Import Vendor information and Purchase Orders from the ERP to WebTMA The intended workflow for procurement using UPI is as follows : – Create a Purchase Requisition in WebTMA. – Export the purchase Requisition to the ERP. – Process the Purchase Requisition in the ERP, i.e., create a PO. – Import the Purchase Order into WebTMA. – Receive the items using WebTMA. – Export the Receivings record to the ERP.
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