Bath designs -Accounting
I have the CD that goes with this assignment I am stuck need help Document Preview:QM3S:;tiPZ2..XJM!JtaQl.U.bin!Wj1i)liXlU,CiBfjie4JsULIIIII(?-1n1.,.c,.?)1 EX a-.qh,Ut@$.Q4?lU4tnW=cM1U.11 1wt*Wwr11ttti-r-;rttt,rmtSh tGlrtSPfr.IIb 0?lSr -£r TtttCYttrr teInk.lwiniet KLOOSTER & ALLEN GENERAL LEDGER SOFTWARE STUDENT INSTRUCTIONS :::arefully read the introduction and general instructions to the Bath Designs Inc. practice set on pages 3 and 4. ollow the steps below to complete Bath Designs Inc. using the Klooster & Allen General Ledger Software. 1. Open the Bath Designs Inc. data file. Start the General Ledger software. Click on the Open toolbar button and select the file BathDesigns.IA6. 2. Immediately save the file to a new name. Click on the Save As toolbar button. When the Save As window appears, select the folder in the Save In. drop-down list where you wish to save your data files. In the File Name box, key a file name of Bath Designs Your Name (for example, Bath Designs John Doe) to identify the file containing your work. Click on the Save button. 3. Display the chart of accounts. Click on the Reports toolbar button. Select Account Lists and Chart of Accounts and then click on the OK button to display the chart of accounts. To print the chart of accounts, click on the Print button. 4. Following the Narrative of Transactions printed in your practice set, key the January transactions for Bath Designs Inc. into the General Journal. Click on the Journals toolbar button and select the General Journal tab. (All transactions for this simulation will be entered in the General Journal.) For each transaction, key the date in the format of 00/00/00 or click on the calendar icon and select the date from the pop-up calendar that appears. Enter the account to be debited in the Account column by keying the account number or the account name or by clicking the Chart of Accounts button and selecting the desired account from the list that pops up. Tab to the Debit column and enter the debit amount. Follow the same procedure for the account(s) to Attachments: Bath-Designs-.pdf Bath-Designs-.pdf Bath-Designs-.pdf Bath-Designs-.pdf
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