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1 Accounting Information Systems: A Business Process Approach Chapter Five: Understanding and Designing Accounting Data
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2 Learning Objective After completing this chapter, you should understand: §Attributes, primary keys, and foreign keys §Relationship cardinalities (one-to-one, one- to-many, and many-to-many)
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3 Learning Objective (Continue) After completing this chapter, you should able to: §Identify transaction and master tables in an AIS database §Assign keys to relate tables for use an application §Identify relationship cardinalities in a business process §Use event analysis to design tables and attributes for a database, and use a UML class diagram to document your design.
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4 Exhibits: 5.2, 5.4 Tables: 5.1, 5.2
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5 Exhibit 5.2 Outline of Steps in Developing a UML Class Diagram Four basic steps need to be taken to create a UML class diagram. Step 1: Place the required transaction tables (files) on the UML class diagram. Accomplish this step by doing the following: Identify events in a business process. Use the procedures described in Chapter 2. Decide which events will need transaction tables. Exclude events that do not need to be recorded in the computer system and exclude query, reporting, and maintenance events. Start the UML class diagram by showing a box for each event requiring transaction tables. In each box, place a name for the event. Arrange the boxes, one below the other, in the sequence in which the events normally occur. Step 2: Place the required master tables (files) on the UML class diagram. Accomplish this step by doing the following: For each event on the UML class diagram (from Step 1), determine the related goods, services, or agent entities. Determine which of the identified entities require master tables. Consider using master tables to track the location of cash and the effect of events on account balances in the general ledger. Add the required master tables to the appropriate side of the UML class diagram. Draw lines connecting the master tables to the related transaction tables.
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6 Exhibit 5.2 Outline of Steps in Developing a UML Class Diagram (Concluded) Step 3: Determine the required relationship between the tables by doing the following: For each of the connecting lines, determine the cardinality of the relationship between the tables. Your cardinalities should be (1,1), (1,m), (m,1), or (m,m). Write the cardinalities next to the line between the entities. If there are any many-to-many relationships, convert them to one-to-many relationships by adding a junction table. The junction table must include the primary keys of each of the tables in the many-to-many relationship. Step 4: Determine the required attributes by doing the following: Assign a primary key to each of the tables. Write the primary key in the box for that entity/table. Link related tables by adding a foreign key to one of the pair in the relationship. Write the foreign keys in the entity boxes, as appropriate. Assign other attributes as needed for providing information content. There will probably not be enough space to enter these attributes in the boxes. Instead, prepare a table that shows the informational attributes for each entity.
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7 Exhibit 5.4 Revenue Cycle for H & J Tax Preparation Service H & J Tax Preparation Service offers a variety of tax services. Information about its services is provided in the following Tax Services Report: Tax Services Report Year-to-Date Service#Service DescriptionFeeRevenues 1040Federal Individual Income Tax Form 1040$100 $120,000 (long form) Sch-A1040 Schedule A (itemized deductions) 50 51,000 Sch-B1040 Schedule B (interest & dividend earnings)50 53,300 Sch-C1040 Schedule C (Sole proprietorship) 110 84,000 StateState Income Tax Return 80 81,000 CorpCorporate Income Tax30 (per hr.)103,000
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8 Exhibit 5.4 Revenue Cycle for H & J Tax Preparation Service (Continued) The company is interested in developing an automated system for recording services rendered and billing clients. Except for the tax software used to prepare the tax return, the current system is manual. The revenue cycle of H & J Tax Preparation Service, up to the point of collection, is described as follows. A client calls the office to inquire about tax services. The secretary sets an appointment for the client to meet with an accountant. The client meets with an accountant and decides on the tax services that will be needed. The accountant then prepares a Service Request Form indicating the agreed-upon services. An example is shown here: Service Request Form Request# 104Accountant: Jane Smith Client: Robert BartonDate: 2/10/2003 Service#Service DescriptionFee 1040Federal Individual Income Tax Form 1040 (long form)$100 Sch-A1040 Schedule A (itemized deductions)50 Sch-B1040 Schedule B (interest & dividend earnings)50 StateState Income Tax Return80 Total$280
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9 Exhibit 5.4 Revenue Cycle for H & J Tax Preparation Service (Concluded) The client gives a copy of the Service Request Form to the secretary. For new clients, the secretary takes the client information (e.g. client name, address, contact person, and telephone no.) from the client and records it on a Client Form. She files the client form along with a copy of the Service Request Form in a client folder. A part of the client form is shown here: Client Form Client#: 1001 Client: Robert BartonAddress: 242 Greene St. St. Louis, MO 63108 Telephone#: 431-555-4530 The accountant obtains information necessary for preparing the returns from the client (e.g., income and deductions). The information is entered into Mega-Tax, a tax software product used at the company. The recording and storage of tax information is handled by the Mega-Tax software and is separate from the rest of the revenue cycle. The company is not planning to integrate the tax preparation software with the rest of the revenue cycle. Thus, in this case, you can disregard the recording, updating, and processing of detailed tax return information. When the tax return is finished, the accountant gives the tax return to the secretary. She writes the services provided and the charges for each on an invoice, with the total amount due shown at the bottom. She then notifies the client that the return is ready.
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10 Table 5.1 Events and Transaction files for ELERBE, Inc. Actual EventTransaction file(s) needed?design Respond toPossibly, if salespeople wish to track a customer’s communicationsNo customer inquirieswith the company in order to understand customer preferences. Take orderYes. A file is needed to record details so that the orderYes can be filled. Pick goodsProbably not. The actual quantities picked can be recorded in a No file during the next event. Ship goodsYes. A file is needed to record quantities shipped so thatYes inventory balances can be updated. Bill customerYes. A file is needed to record invoice number, paymentYes terms, and amount owed so that (1) sales reports can be printed, (2) the customer’s balance due can be updated, and (3) data are available for processing the payment when received. Receive and recordYes. A file is needed to record payments so that they can be applied Yes cash receiptsagainst invoices and so that customer balances and cash balances can be updated. Deposit checksPossibly. A file can be created for comparison to the depositsNo reported on the bank statement, although merely keeping deposit receipts might serve this purpose.
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11 Table 5.2A Tables Used in ELERBE’s Order Processing Application Panel A: Customer Table Contact Customer#NameAddress_PersonTelephone# 3450Brownsville C.C.Brownsville,TXSmith956-555-0531 3451Educate, Inc.Fairhaven, MACosta508-888-4531 3452Bunker Hill C.C.Bunker Hill, MALaFrank617-888-8510 Panel B: Inventory TableQuantity_ ISBNAuthorTitlePriceOn_HandAllocated 0-256-12596-7BarnesIntroduction to Business$78.354,000300 0-127-35124-8CromwellBuilding Database Applications$65.003,5000 0-135-22456-7CromwellManagement Information $68.005,00050 Systems 0-146-18976-4JohnsonPrinciples of Accounting$70.008,000260 0-145-21687-7PlattIntroduction to E-commerce$72.005,00040 0-235-62415-6RosenbergHTML and Javascript Primer$45.006,0000
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12 Table 5.2A Tables Used in ELERBE’s Order Processing Application (Concluded) Panel C: Order Table Order#Order_DateCustomer# 010001105/11/20033451 010001205/15/20033451 010001305/16/20033450 Panel D: Order_Detail Table Order#ISBNQuantity 01000110-256-12596-7200 01000110-146-18976-4200 01000120-135-22456-7 50 01000120-146-18976-4 50 01000120-145-21687-7 40
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13 Table 5.2B Inventory ISBNAuthorEtc. 0-256-12596-7Barnes.... 0-135-22456-7Cromwell.... 0-146-18976-4Johnson.... 0-145-21687-7Platt.... Order Order#Order_Date Customer# 010001105/11/20033451 010001205/15/20033451 Order Detail Order#ISBNQuantity 01000110-256-12596-7200 01000110-146-18976-4200 01000120-135-22456-750 01000120-146-18976-450 01000120-145-21687-740
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