EXPEDIENT SOFTWARE

Going beyond software performance.

Release 27/07/16 – Workflow – Supplier Invoice and Entry buttons, Broker name, ICS Summary, colours, inactive users

This release provides several updates to the Workflow screen in AU and NZ Supplier Invoice and Customs Entry Buttons Where your site has the Customs Module new buttons have been added to quickly access the Supplier Invoice and Customs Entry screens at the bottom of the Workflow screen.  This will open the screens at the relevant […]

Release 15/06/16 – NZ Import Forwarding – PortConnect Container Updates

This release provides the ability to update Expedient directly with information supplied by PortConnect on Container movements in ports Auckland and Tauranga. Each time a container is added to an Import Job a request is automatically submitted to PortConnect to receive all movements for that container. PortConnect can supply information on the following Arrival Date and Time of the vessel the […]

Release 25/05/16 – Billing Module Upgrade

Overview of Changes We are excited to introduce the enhanced import and export billing functions in Expedient. The below outlines some of the changes. Below is an outline of these changes: Change the Charges button to a Charges tab on the Import and Export Job Registration Screens with additional information such as DAFF Paid Amount/all […]

Sub Revenue Codes

This screen allows the addition, update and viewing of Sub Revenue Codes. Use the Maintain Sub Revenue Codes button in the toolbar of the General Ledger > Chart of Accounts screen.   Please Note: Once you have added a code to the Chart of Accounts Screen, users will need to add a corresponding Alpha Code in […]

Chart of Accounts

This screen holds the Chart of Accounts Masterfile.  The screen is found in General Ledger > Chart of Accounts. The Account Codes are numerical. The structure and headings of accounts should assist in consistent posting of transactions.  Each nominal ledger account is unique to allow its ledger to be located. The list is typically arranged […]

Post General Ledger – All Months

This function is used for reporting purposes only. It updates all of the data to be current and up to date for the viewing of: Debtors Aged Trial Balance Creditors Aged Trial Balance General Ledger Aged Trial Balance Profit and Loss Balance Sheet Bank reconciliation This option is found in General Ledger > Post Gen. Ledger all […]

Accounting Periods

Accounting Periods are used to ‘close off’ financial transactions to gain a picture of the overall financial status of the company at the end of any given period. Accounting Periods are utilised in the following areas of the system: Bank Reconciliation Profit Reporting / End of Period Reports User warning when entering invoices in a […]

ATB – Detailed Report

This report outlines a list of creditors accounts with aged balances for a specific period, which is nominated by the user, using the below parameters. This report is found in Creditors > Reports >  ATB Detailed New Page Per Creditor?  If YES – 1 Creditor will be displayed per page. If NO – The report […]

Modifying Creditors Invoices

This is a search screen allowing you to find invoices by any fields in the screen. Once found click Update and make the required change to the invoice on the screen. The Invoice Number, Due Date and Invoice Date can be amended. This screen is found in Creditors > Modify Creditors Invoice

General Ledger Creditor Invoices

When you have money to pay out that is not job related, i.e. stationary, you can input the Creditors Invoice which goes directly into the General Ledger bypassing the Job Creditors process.  Find this screen in Creditors > G/L Creditor Invoices By clicking the ADD button or typing A will place the cursor in the input […]

EXPEDIENT SOFTWARE GUIDE © 2015