Aakash-Business-Tool/C2/Viewing-Reports/English
Title of script: Viewing Reports
Author: Trupti Rajesh Kini
Keywords: Ledger,Trial Balance-Net Trial Balance,Gross Trial Balance,Extended Trial Balance,Project Statement,Cash Flow,Balance Sheet-Conventional balance sheet & Sources and application of funds,Income & Expenditure/Profit & Loss
Cash Book,Export as pdf,Export as CSV,Drill down,option button,icon.
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/* Slide 1 */ | Hello and welcome to this spoken tutorial on Viewing Reports in ABT |
/*Slide 2 */
Objectives |
In this tutorial, you will be able to view,
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Slide 3
System Requirements |
In this tutorial, I am using
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Slide 4 | For more information please visit the following links. |
Slide 5
Prerequisites |
For this tutorial, you must be familiar with:
If not, for relevant tutorials please visit http://spoken-tutorial.org |
Start ABT | Select ABT application. |
Point to Select Existing Organization button | Select organisation Free Accounting Foundation. |
Point to login page | Login as admin. |
Point to Reports | Tap on Reports |
Point to new page | You will see the Organization name, Type and financial period at top centre.
Under Reports, we have,
Free Accounting Foundation is of type NGO. So we see Income and Expenditure under Reports instead of Profit and Loss. |
/* Interface */
Tap on Ledger option |
When I tap on Ledger option, a new window appears. |
Point to Select account name | Select account name for which the ledger is to be shown.
Let us select Sbi. |
Point to From date and To date | From date and to date, by default is financial period.
Change date as per the requirement or keep it as it is. |
Point to Display narrations | Let us check the Check box for Display Narrations. |
Point to Select project name | We have created transactions with No Project.
So, keep the default project name. |
/* Slide 5*/
Ledger |
We will see the ledger here. |
Point to the Ledger report | We can view the organization name,type & financial period at the top center.
Opening balance is located at the first row of the table. Followed by
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Point to the top right of the screen | On the top right of the screen, we will find the report period.
Above that, there are options; options to export report as Pdf or as CSV. |
Point to export as pdf | Tap on Export as pdf option. |
Point to the new window | A new window appears.
You can secure your file by giving it a password. And then tap on Set password and save file button. |
Point to the message | It says pdf generation completed see /mnt/sdcard/ for the file. |
Similarly, we can save as CSV file. | |
Point to the top left of the screen | On the top left of the screen, there is another icon.
This is for changing input details to view ledger as we did in previous screen. |
Point to ledger report->drill down->voucher | There is a feature called drill down in Reports.
Whenever we long-press on any account name in the row, it takes us to its voucher. We can view voucher details through drill down, say, drill down of Cash We have drill down for all reports including Bank reconciliation. |
Under Reports menu, Point to Trial Balance | Next, Trial Balance. |
Click on Trial Balance Type drop down | We have three types of Trial Balance.
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Select Net Trial Balance from the drop down | Let us select Net Trial Balance.
Here To-date is editable. Tap on View. |
Point to difference in opening balances |
We will see Net Trial Balance as at 31 march 2015. We can view Difference in opening balances at the bottom of the screen. |
Point to drill down | Long-press on any row.
We are directed to that Account's ledger. |
Point to Project Statement |
Next, Project Statement. |
Point to view button | We have created transactions with No project.
So let us view project statement for No Project. This is the project statement with Difference in opening balance at the bottom of the report. |
Point to cash flow |
Next, Cash Flow. We can view cash flow for any period within the financial period.
We can view Net Flow at the bottom of the report. |
Point to Balance sheet |
Next, Balance Sheet Balance Sheet summarizes a company’s
It summarizes at a specific point in time. There are 2 types of balance sheets: Conventional balance sheet & Sources and application of funds
Tap on View. |
Point to Balance sheet | This is the Balance sheet for Free Accounting Foundation as at 31 march 2015.
We can see Corpus & Liabilities are at the left of the screen, Whereas Property and Assets are at the right of the screen.
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Next, Income and Expenditure, Income and Expenditure records the income and expenditure of an organization. | |
Next, we can view Cash Book for the organisation Free Accounting Foundation. | |
/* Slide 6 */
Summary |
So, in this tutorial, we have seen,
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/* Slide 7*/
Assignment |
As an assignment, explore Gross Trial Balance and Extended Trial Balance reports for SBI. |
/* Slide 8 */ | Watch the video available at http:spoken-tutorial.org/
It summarizes the Spoken Tutorial project If you do not have good bandwidth, you can download and watch it |
/* Slide 9 */
Spoken tutorial Workshops |
The Spoken Tutorial Project Team
For more details, please write to contact@spoken-tutorial.org |
/* Slide 10 */
Acknowledgements |
Spoken Tutorial Project is a part of the Talk to a Teacher project
It is supported by the National Mission on Education through ICT, MHRD, Government of India More information on this Mission is available at http://spoken-tutorial.org /NMEICT-Intro |