Vendor Editor
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This process is done through the Action button on the Posting Transaction window.
- Select Funds from the area on the left side of the screen.
- Under Entry select Post Transaction.
- The default District and School information will be based on your security settings.
- NOTE If you are a district user, you will need to make a school selection.
- Complete the Setup box and click Ok.
- Click the Action button at the top right of the screen.
- Select Vendor Editor.
- The Vendor list will appear on the screen.
To create a new account for use with the current fiscal year, use the steps below:
- Use the top line beginning with the Account cell.
- Click the account cell and select the new account from the school list/district list of accounts.
- If the account does not exist you MUST contact the district funds coordinator for assistance.
- After entering the new account information, scroll to the right side of the screen and click the save cell.
- The new beginning balance record will appear in the list of records in account number order.
- After creating the new balance record, you may print the account list using the instructions below.
- To close the Beginning Balance window, click the gold 'x' in the upper right of the window.
To Print the Beginning Balance Records, use the instructions below.
- Click the print button at the bottom of the page.
- A print preview window will appear.
- To get the print icon on this window, hover the mouse in the bottom right area of the preview. A grey rectangle will appear with several icons.
- Click the print icon at the right end of this rectangle. Another print preview will appear.
- Select the number of copies to print. Standard district procedures require the schools to send a copy to the district office and to keep a copy on file at the school.
- Click the print button at the top left to print the report. Close the print preview.