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TC4:Documentation

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Main Documentation Categories

  1. Getting Started
  2. Welcome and Introduction to TurboCASH4
  3. What is New in TurboCASH4?
  4. New to Accounting and Computerised Systems - Some Basics
  5. Manage Sets of Books and Data
  6. Create Set of Books
  7. Setup Procedures
  8. TurboCASH4 as a Multi-User Program
  9. Master Files
  10. Accounts
  11. Debtors
  12. Creditors
  13. Tax (VAT/GST/Sales Tax)
  14. Stock
  15. Batches (Journals)
  16. Documents
  17. Cost Centres
  18. Projects
  19. Calendar
  1. Reports
  2. Bank Reconciliation
  3. Point-of-Sales
  4. Open Item Processing
  5. Export / Import
  6. Import Data
  7. Payroll (Salaries and Wages)
  8. Bad Debts
  9. Depreciation
  10. Month-End/Year-End
  11. Plugins
  12. Shortcut Keys (Keyboard Access)
  13. Multiuser Setup
TC4:Release Notes / Change Log

Reference Guides

Service Entities (No Stock)


  1. TC4:Create Set of Books (No Trading Stock)
  2. TC4:Setup System Parameters Menu
  3. TC4:Setup Preferences Menu (Optional)]
  4. TC4:Create or Edit Master Files
  5. TC4:Take on Opening Balances (No Trading Stock)
  6. [[TC4:Processing Transactions in Batches (Journals)
  7. TC4:Transactions with Debtors (Customers)
  8. TC4:Transactions with Creditors (Suppliers)
    • Purchase Journal
    • Purchase Returns Journal
    • Creditors with Charge Amount
    • Pay Creditors (Electronic Banking
    • Early Settlement Discounts Received
  9. Cash / Bank Transactions
    • Petty Cash Journal
    • Payment Transactions (Bank Account)
    • Payments Journal
    • Creditor Balances at Date
    • Receipt Transactions (Bank Account)
    • Receipts Journal
    • Create Receipts
  10. Other Transactions
    • General Journal
    • Depreciation
    • Payroll
  11. Bank Reconciliation
    • Printed Bank Statement
    • Bank Statement File (Online Banking)
    • Bank Reconciliation Statement (Report)
    • Finding / Fixing Differences
  12. Create or Edit Budgets
  13. Reports
    • Batch Type Report
    • Creditor Reports
    • Contact Listing
    • Debtor Reports
    • General Ledger Reports
    • Reconciliation
    • Tax Reports (only if registered for VAT)
    • User Reports
  14. Year-end Procedures
    • Year End Adjustments (Accrual Basis)
    • Income Received in Advance
    • Income Outstanding
    • Expenses Paid in Advance (Pre-paid)
    • Expenses Outstanding
    • Provision for Outstanding Expenses
    • Private Expenses
    • Consumable Stores on Hand
    • Do Year-end

Retail Entities (Trading Stock)


  1. Create Set of Books
  2. Setup System Parameters
  3. TC4:Setup Preferences (Optional)]
  4. TC4:Create or Edit Master Files
  5. Take on Opening Balances
    • General Ledger (Trial Balance)
    • Creditors (Creditor's Ledger)
    • Debtors (Debtor's Ledger)
    • Stock Items (Quantities and Cost)
  6. Processing Transactions - Trading Stock Items
    • Purchasing Trading Stock (Creditors / Suppliers)
    • Create or Edit Orders
    • Confirm and Convert Orders
    • Create or Edit Purchase Documents
    • Create or Edit Stock Returns
    • Update Documents to the Ledger
  7. Selling Trading Stock (Debtors / Customers)
    • Create or Edit Quotes
    • Confirm and Convert Quotes
    • Create or Edit Invoices
    • Create or Edit Credit Notes
    • Update Documents to the Ledger
  8. Point-of-Sale Invoicing
    • Start Point-of-Sale Session or Shift
    • Enter Float (into Drawer)
    • Selling Items on Point-of-Sale (Invoicing)
    • Payments Received
    • Cash Up
    • Close Point-of-Sale Invoicing Session or Shift
  9. Stock Adjustments
    • Adjust Average and Latest Cost
    • Adjust Quantity and Average Cost
    • Adjust Quantity and Latest Cost
    • Adjust Selling Prices
    • Advanced Stock Adjustments
    • Adjust Trading Stock Shortages
  10. Processing Transactions in Batches (Journals)
    1. Transactions with Debtors (Customers)
      • Sales Journal (Not Trading Stock)
      • Sales Returns Journal (Not Trading Stock)
      • Balance Debtors with Amount
      • Debtors with Charge Amount
      • Fixed Amount to All Debtors
      • Interest on overdue Debtor Accounts
      • Receive Debtors (Electronic Banking)
      • Write-off of Bad Debts
      • Recovery of Bad Debts already written-off
      • Early Settlement Discounts Allowed
    2. Transactions with Creditors (Suppliers)
      • Purchase Journal (Not Trading Stock)
      • Purchase Returns Journal (Not Trading Stock)
      • Creditors with Charge Amount
      • Pay Creditors (Electronic Banking)
      • Early Settlement Discounts Received
    3. Cash / Bank Transactions
      • Petty Cash Journal
      • Payment Transactions (Bank Account)
      • Payments Journal
      • Creditor Balances at Date
      • Receipt Transactions (Bank Account)
      • Receipts Journal
      • Create Receipts
    4. Other Transactions
      • General Journal
      • Depreciation
      • Payroll
  11. Bank Reconciliation
    • Printed Bank Statement
    • Bank Statement File (Online Banking)
    • Bank Reconciliation Statement (Report)
    • Finding / Fixing Differences
  12. Create or Edit Budgets
  13. Reports
    • Batch Type Report
    • Creditor Reports
    • Contact Listing
    • Debtor Reports
    • General Ledger Reports
    • Reconciliation
    • Tax Reports (only if registered for VAT)
    • User Reports
    • Document Listing
    • Print Delivery Notes
    • Print Documents
    • Stock Reports
    • Sales Analysis Reports
    • Purchase Analysis Reports
    • Point-of-Sale Reports
  14. Year-end Procedures
    • Year End Adjustments (Accrual Basis)
    • Income Received in Advance
    • Income Outstanding
    • Expenses Paid in Advance (Pre-paid)
    • Expenses Outstanding
    • Provision for Outstanding Expenses
    • Private Expenses
    • Consumable Stores on Hand
    • Do Year-end

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