Spring 2008 ECi La Crosse Customer Conference
Spring 2008 ECi La Crosse Customer Conference
Session: Financial Management
User Group: Nextgen
Program Date: Thursday, April 17, 2008
Program Hours: 10:30 a.m.—12:30 p.m.
Location: The Pearl Conference Center

This session is designed to show you procedures for viewing and printing financial statements, reconciling cash books, allocating your general ledger account into multiple accounts, setting up and running repeating and reversing journal entries, reconciling AP and PO pending invoices, and billing service contracts in advance to have the income recognized over a period of time instead of in one accounting month.

In this session, you will learn...

  • How to use Nextgen Financial Statements and daily financial briefs
  • The power and flexibility of using Nextgen dashboards and web crystals
  • How to reconcile your bank statements for bank charges or service charges
  • Allocation or distribution of funds from your general ledger to multiple GL accounts
  • How to create general ledger journal worksheet records in repeating or reversing mode
  • How to calculate unearned revenue or deferred income in contracts Using financial statements and financial briefs
  • View and print Crystal reports easily and conveniently from your web browser
  • See the new features of Nextgen dashboards, and get real time information with great visuals
  • Discover the features and benefits of creating balance sheets and income statements with Nextgen Financial Statements (also known as Income Statement 7) Cash book reconciliation
  • Reconcile both cleared and uncleared (outstanding) checks and deposits in the system
  • Enter bank charges or service charges
  • Clear journal entries that are equal to and including the statement date. GL allocation, repeating and reversing journal entries
  • Learn how to effectively use GL import for maximum automation
  • How to set up and benefit greatly from using Unit Concatenation
  • Set up repeating or reversing journal entry templates to be used for future purposes
  • Create automatic repeating journal entries for standing back orders, direct debits/credits, and monthly prepayments
  • Create automatic reversing journal entries for accrued monthly expenses and uninvoiced purchases AP/PO pending reconciliation
  • Learn how to properly close AP and AR and effectively perform end of month procedures
  • Clear pending purchase orders that have been received but not fully invoiced
  • How to enter AP invoices against purchase orders in order to close them Unearned or deferred contract revenue
  • Using the unearned contract revenue report
  • Using the monthly contract billing report to spot areas of deferred income
  • Register Here for the Spring 2008 ECi La Crosse Customer Conference!

    Contact Information

    ECi La Crosse
    200 Main Street
    Suite 220
    La Crosse, Wisconsin 54601
    Phone: 877-766-6445
    Fax: 608-791-5660
    Email: info@lacrossesoftware.com
    Website: www.lacrossesoftware.com
    • CUSTOMER SERVICE AND SUPPORT: For questions or concerns regarding software or technical support issues, please send an email to ECi La Crosse Support at support@lacrossesoftware.com.
    • TRAINING SEMINARS/ON-SITE TRAINING: For questions or concerns regarding seminars, conferences, product orders, or on-site training, please send an email to ECi La Crosse Sales at sales@lacrossesoftware.com.
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