Cards Overview
In MYOB AccountEdge, cards are the records of every person and company you do business with. There are four types of cards: customer, vendor, employee and personal. You’ll assign a card to each transaction you enter into the MYOB system. You’ll enter information about the customer, vendor, employee and personal contact in the Card Information window that will be automatically entered when you use the card to create transactions throughout AccountEdge.
Step 1: Select the type of card you need and enter card details
Step 2: Enter selling, payroll and buying details (customers, employees and vendors only)
Step 3: Enter payment details (customers)
Step 4: Make a Contact Log entry
Step 5: Enter jobs (customers)
Step 6: Enter history for customers, vendors and salespeople
Step 7: Add the card to your records
Step 8: Enter historical sales for customers
Step 9: Enter historical purchases for vendors
You can create four types of cards. Read the following information carefully, so you’re sure you’re creating the card you need.
You’ll create cards in the Card Information window. The window has seven possible views -- Profile, Card Details, Selling/Buying/Payroll Details, Payment Details, Contact Log, Jobs and History. When a card type is chosen you’ll be able to enter information in the views that apply to the card type.
Click below for the step-by-step procedure:
The Profile and Card Details views are available for all types of cards. The information you enter in the two views -- and in other views where applicable -- will be entered automatically when you enter the card on transactions throughout AccountEdge.
To create a card, you must enter a card name. You may enter up to 15 alphanumeric characters for a Card ID. If you choose not to enter a card ID, the Card ID field displays *None. In the Windows view of the Preferences window, you can choose to search a list of cards using either a card name or a card ID. (Choose Preferences under the Setup menu to view Windows preferences.)
While many of your contacts may have one location where all of their business transactions take place, you may have other contacts whose accounting office -- where invoices are paid, for instance -- is located in another building or another town. You may enter up to five locations for each card. You can choose to enter the mailing address -- including country name, telephone number, email address and other contact information for each location. When you create transactions, you’ll choose one of the five locations and the information for that particular location will be used on the transaction.
If you wish to sort your cards into a listing of those customers to whom you wish to send your latest mailing, for instance, you can use an identifier to indicate the cards that should be included on the mailing list. Identifiers can be entered on the Card Details view. Use this view to also make Custom Lists and Fields entries for your customers, vendors, employees and personal contacts. For information about using identifiers and custom lists and fields, see Using identifiers and Using custom lists and fields.
If you wish to add a picture of each of your employees or if you wish to display a picture that shows the progress of the project your working on for the customer, for instance, you can link a graphic on the Card Details tab. For more information about linking a graphic, see Linking a picture to an item or card record.
If you’re using the Multicurrency feature, you can assign a currency other than your home currency to the customer or vendor card if you conduct business together in a currency other than your home currency. The currency field is located on the Profile tab of the Card Information window. Be careful in your selection, however, once you begin recording transactions for the customer or vendor, you won’t be able to change the selection you’ve made in the Currency field.
If you assign a foreign currency to the customer, the sales to the customer will appear in the customer’s currency. For example, if you indicate that a particular customer uses Canadian dollars, all sales invoices for that customer will be recorded in Canadian dollars. Payments received from the customer also must be in the customer’s currency. In the same way, if you assign a foreign currency to the vendor, the purchase orders for the vendor will appear in the vendor’s currency. For example, if you indicate that a particular vendor uses Canadian dollars, all purchases from that vendor will be recorded in Canadian dollars. Payments to the vendor also must be in the vendor’s currency.
You can assign a currency other than your home currency to an employee if you like -- but only if you don’t plan to record payroll checks for the employee using AccountEdge. If you plan to record payroll checks for the employee using AccountEdge, you must select your home currency for the individual.
Selecting a foreign currency may be useful if the employee is a salesperson who makes all of his or her sales in another currency -- Canadian dollars, for example -- and you don’t plan to use AccountEdge to pay the employee. When you print reports that show individual salespeople’s sales amounts, the amount will be displayed in whatever currency has been assigned to the salespeople.
Since only one currency can be assigned to an employee, we recommend that you use your home currency for any employees who may make sales in more than one currency. You’ll be able to assign these employees to any transactions you like. If you assign a foreign currency to an employee, however, you’ll be able to include the employee only in transactions that use that currency. For more information, see Multicurrency Overview.
Click below for the step-by-step procedure:
Select the type of card you need and enter card details
To assign identifiers to a card
To enter a label for a custom list
To create list entries on a custom list
To change a list entry on a custom list
To delete a list entry on a custom list
To display a picture (or change the picture you display)
The selling information you enter will be used when entering sales for customers. Enter the sales layout you use for each customer and that layout will display when you enter the customer’s name in the sales window. Similarly, by making an entry in the Printed Form field, that form will be used when printing the sale for the customer. If you use a service layout for your customers and use the same account number when you enter sales for this customer, you can choose to enter the account in this view and the account number will be automatically entered when you enter line items on the sale. You can change the automatic customer entries if you wish.
If the rate you charge for time billing activities depends upon the customer you’ve performed the activity for, you can assign an activity rate to your customer cards.
If you’ve set up multiple price levels for the items you sell using the Pricing Information tab of the Item Information window, you can select the appropriate price level for each customer. When you make sales, the prices that appear in the Sales window will be based on the selection you’ve made here.
If you’re required to collect taxes from the customer, or pay taxes to the vendor, you can specify a tax code for the customer or vendor. When you enter the customer card on a sale or the vendor card on a purchase, the tax code you enter in the Selling Details or Buying Details view will be entered automatically.
If you’re required to collect GST from the customer, or pay GST to the vendor, you can specify a GST code for the customer or vendor. The GST code you enter here will appear as a default entry for the line items you enter in the Sales and Purchases windows. (If you also specify a tax code for items that are included in the Items List, the tax code for the item will appear when entering those items on item layout sales and purchases.)
The credit terms you assign to your customers -- and those your vendors assign to you -- are rules that govern the number of days between delivery and payment, discounts for early payment and penalties for late payment. You can set specific credit terms for each customer using the Customer Terms Information section of the Selling Details view; you can set specific credit terms for vendors using the Vendor Terms Information section of the Buying Details view.
After you set up credit terms, discounts based on the terms are automatically calculated when you enter sales and purchases. (You can change the terms and discount amounts for individual sales or purchases, if you need to.)
Similarly, after you set up credit terms, finance charges based on those terms are automatically calculated beginning the day after a transaction’s balance due date. Your customers’ finance charges can be printed on their monthly statements, if you want.
Click below for the step-by-step procedure:
To enter selling details (customers only)
The buying information you enter here will be used when entering bills for a vendor. Enter the purchase layout for each vendor and the layout you choose will display when you enter the vendor’s name in the purchases window. Similarly, by making an entry in the Printed Form field, that form will be used when printing the purchase for the vendor. If you use a service layout for your vendors and use the same account number when you enter purchases for this vendor, you can enter the account in this view and the account number will be automatically entered when you enter line items on the purchase. You can change these automatic vendor entries if you wish.
If the rate you charge for time billing activities depends upon the vendor who performs the activity, you can assign an activity rate to your vendor cards. You can also track the cost of performing activities by entering an estimated cost per hour for your vendors.
You’ll use the Vendor Terms Information section to enter credit terms and to indicate how discounts should be calculated for the purchases you enter. Using the Tax Code field, choose a tax code for the vendor if you are required to collect tax on purchases made from the vendor. See Assigning credit terms to your customers for more information.
If you wish to report payments to vendors for inclusion on a 1099 statement, select how you wish to report the payments by choosing from the list of categories in the Report Payments on 1099 as: field of the Buying Details view of the Card Information window.
In order for the Report Payments on 1099 as: field to be available, payroll must be set up in your data file. AccountEdge requires the calendar year structure provided by the payroll feature in order to track 1099 payments for the tax year. If the Report Payments on 1099 as: field appears in this view, payroll has already been set up in your data file and you can track vendor payments on 1099 statements for vendors you designate as 1099 vendors. If the field doesn’t appear you must set up payroll before you can track vendor payments on 1099 statements.
If you haven’t set up payroll yet in your data file, you’ll first decide how you intend to use the payroll feature. If you plan to use AccountEdge to record payroll transactions for your employees, you’ll use the Easy Setup Wizard from the Setup menu to set up payroll.
If you don’t plan to use MYOB AccountEdge to track payroll transactions for your employees -- if you plan to use the AccountEdge payroll feature for 1099 purposes only -- you’ll need to only load the payroll tax tables and enter the payroll year to set up payroll. When you set up payroll for 1099 purposes only, the date of the payroll tax tables you load has no affect upon the tracking of 1099 payments; any tax table is usable.
For a step by step procedure, see To set up a vendor as a 1099 vendor.
The credit terms you assign to your customers -- and those your vendor assign to you -- are rules that govern the number of days between delivery and payment, discounts for early payment and penalties for late payment. You can set specific credit terms for each customer using the Customer Terms Information section of the Selling Details view; you can set specific credit terms for vendors using the Vendor Terms Information section of the Buying Details view.
After you set up credit terms, discounts based on the terms are automatically calculated when you enter sales and purchases. (You can change the terms and discount amounts for individual sales or purchases, if you need to.)
Click below for the step-by-step procedure:
To enter buying details (vendors only)
To set up a vendor as a 1099 vendor
If you’re creating an employee card, it’s very important that you fully set up the employee’s payroll information before you begin writing paychecks to the employee. Also, before you enter payroll information about an employee, be sure your payroll linked accounts and payroll categories are properly set up. See Payroll Categories Overview to learn about payroll categories.
Choose a work code and residence code that will be used when calculating amounts on a paycheck and enter other employment information for your employees using this view. A work and residence code must be selected in order to use an employee card on a paycheck. Use the Payroll Details view to access the Employee Payroll Information, Pay History, Time Billing Employee Setup and AccrualBalances windows.
When you click the Info button to open the Employee Payroll Information window, you can assign wages, deductions and employer expenses.
Click the History button to open the Pay History window. Use the window to enter pay history for the pay periods that occurred before you started using AccountEdge. When you start recording paychecks using AccountEdge the amounts of the paychecks are automatically added to this window and are displayed on some reports.