朋友馬克最新力作,
2008年7月10日 星期四
2008年6月18日 星期三
月結作業 - 固定資產系統 FA
Step 1. Make Sure to post all invoices distribution
which marked as “Track as asset” (AP)
Run Expense Distribution Detail Report
列印所有 Unpost 之Track as Asset交易,
Check un-posted reason , fix it and post associated invoice
into Oracle General Ledger
Submit Create Mass Additions for Assets Program
System will automatically generate
Mass Additions Create report.
Step 2. Make sure to post all “UN-POST” assets
Run Unposted Mass Additions Report
列印所有 Unpost 之Mass Additions
Check un-posted reason , fix it and post associated invoice
into Oracle Fixed Assets
Submit Post Mass Additions
System will automatically generate
Mass Additions Posting report.
Reconcile Unposted Mass Additions Report with
Mass Additions Posting Report
Step 3. Make adjustment for exceptional conditions
Cost Adjustment in “mass-additions”
AP : Dr -- Clearing Acct $20,000
Cr -- AP $20,000
FA : Dr -- Asset Cost Acct $20,200 (Cost Adjustment $200)
Cr -- Clearing Acct $ 20,200
GL : Dr -- Clearing Acct $200 (Adjustment Journal)
Cr -- AP $200
Manual error on AP (non-clearing account)
AP : Dr -- Asset Cost Acct $20,000
Cr -- AP $20,000
FA : Dr -- Asset Cost Acct $20,000 (Manual Addition)
Cr -- Clearing Acct $ 20,000
GL : Dr -- Clearing Acct $20,000 (Adjustment Journal)
Cr -- Asset Cost Acct $20,000
Cancel Original AP -> Re-enter AP -> Approval -> Post to GL -> Post to Mass Additions -> Post to FA
Step 4. Final posting in mass-additions
Run Unposted Mass Additions Report
列印所有 Unpost 之Mass Additions
Check un-posted reason , fix it and post associated invoice
into Oracle Fixed Assets
Submit Post Mass Additions
System will automatically generate
Mass Additions Posting report.
Reconcile Unposted Mass Additions Report with
Mass Additions Posting Report
Step 5. Run projection report to see projected depreciation expense
Step 6. Run Depreciation (Close Current Period & Open Next)
Step 7. Reconciliation Reports with Oracle General Ledger
Reconciling Journal Entry to General Ledger Accounts
Reconciling Asset Cost Accounts
Reconciling CIP Cost Accounts
Reconciling Reserve Accounts
Reconciling Depreciation Expense Accounts
2008年4月28日 星期一
Google 2008 台北程式開發日來囉
誠意邀請您參與 Google 2008 台北程式開發日
了解如何充分運用Google
開發人員產品建立各種應用程式,以因應如社交、行動產品、地理/地圖,以及 AJAX/JavaScript 等不同需求。
http://code.google.com/intl/zh-TW/events/developerday/2008/home.html
2008年3月26日 星期三
安裝 Oracle Database 10g Express
Oracle Database 10g Express的安裝其實是相當簡便的,幾乎只要一直下一步就可以完成安裝了
接受合約,下一步
因為只有一個產品可以選擇安裝,安裝路徑可以改變,下一步
設定SYS與SYSTEM USER的密碼,下一步
顯示Database一些listener的相關資訊,下一步安裝
完成安裝後,可以到資料庫管理首頁做相關設定
以SYS身份登入
XE的 Web管理頁面還蠻方便,大部分的工作不用再透過其他工具來執行,算是一套不錯的免費資料庫。
對於個人或小企業來說,4GB的資料庫應該很好用了。