simple & easy to use institutional / school management software with integrated accounting...

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Simple & easy to use Institutional / School management Software with integrated accounting

E-Count : Smart (Institutional Management System)

E-Count : Institutional Management Institutional /School Management and Billing with Integrated

Accounting.

Student Master, Vehicle Master, Route Setting, Library Master & Store Masters.

Vehicle Route settings with pickup stages.

Fee setting (Classwise & Fee Type). Fee Receipt Billing. Due Lists.

Books Issue & Receipts and its reports.

Inventory Items Purchase, Issue and Sales.

Stock Reports, Issue & receipts reports.

Daily Fee Collection, Receipts, Payments summary and details.

Fee Pending details reports and creating remainder letter to parents.

Vehicle Servicing & and its records, Servicing / Policies Due.

Classwise & Vehiclewise Students List and Fees Dues list.

Receipts, Payments, Cash-Bank transfer (Contra), Journal, Daybook, Cashbook, Bankbook, Trial Balances.

Help screens explaining each screens operations. Exclusive reports. Ledger wise & group wise Trail Balance, Balance sheet. DOS & Windows printing options as per your printer. Voucher Locking facility for Managers / Accountants. Year wise Database. Financial year creation and Closing balance

transfer at any point of time. User rights assignments. User can be prevented from opening the

screens, modifying / canceling the vouchers and viewing the records and reports.

Integrated Accounting. All transactions will reflect in accounts. Self explanatory edit screens. Optional facility for sending SMS Messages to Parents. Simple & easy to use Accounting. No accounting background

required. TC Issue & Issued TC details & Reports. Class Promotion, New Admission and Retaining failed Students in same

class. Vehicle Servicing and Expense Entry (Fuel Charges, Maintenance &

Insurance Charges etc)

Individual user can be assigned with rights as per their roll, to get access to the editing screens and reports. User can be prevented from modifying / canceling the bills, viewing reports and edit screens like purchase and profit & Loss Account

Financial Year Selection :- Database is maintained year wise for accounting, easy maintenance and security purposes.

Student Master

Details of Students along with their Address, Class, Vehicle, Route, etc are added here as master Data.

Bus Route Master

Vehicle Routes are added and modified here. Which is the master data for Vehicle Fees.

Vehicle Route Setting

Vehicle route along with Stage, Kms, and Rate are entered in this section and will be used for calculating Student’s Vehicle fee.

Classwise Fee Setting

Class wise Fee Setting. This Fee setting will be applicable for all students in that class. This will be confirmed in the Student Fee Setting Screen and if required can be edited.

Vehicle Master

Student Fee setting as per Class and term. Dues list will be populated as per this settings

Staff Master

Staff Master to define staff details and Basic monthly payment structure

Staff Pay Setting

Staff Advance Payment

Staff Advance Payment

Staff Overtime / Extra Work Entry

Staff Payment

Vehicle Running Details

Student Fee Collection

All Fees collection and issue of receipts bill using this screen. Pending List and Paid list will be populated. Student can be searched by class or vehicle.

Vehicle Servicing

Student Promotion

Student Promotion to the Next Class. Failed students can be retained at same class.

Vehicle Running Details

Vehicle Running Details

Vehicle Expense Entry

Vehicle expense details entry.

Vehicle Servicing

Vehicle Servicing records

Inventory Master

Inventory Master. Items like School Belts, Books etc are added to this list

Library Master

Library Books Issue & Receipt

Purchase of Items

Purchase Screen for Inventory Items like School belts, Socks, Uniform, badges etc.

Accounts Ledgers & Customer List

Accounts Ledgers, Bank accounts and Clients /Customers can be created using this screen. The same thing can be created using “Add Customer” screen and “Bank Accounts” screens. Customers will be under the group “Sundry debtors” or “Sundry Creditors” and bank accounts under “Bank Accounts” group. Opening balance of each ledger can be edited in the grid directly. Customer should be added before billing credit purchase / sales/ payment or receipts.

Receipt Voucher / Income Entry

Receipts :- Cash / Cheque received from Clients / customers and Cash received through other means are entered through “Receipts” voucher or “Income entry” screen.  If the receipt mode is Cheque, then it will be received against the ledger “CHEQUE-IN-HAND” and should be transferred to “CASH ACCOUNT” of “BANK ACCOUNT” using “Contra” voucher entry.

Payment Voucher / Expense Entry

Payments :- Payments given to the Clients / customers and Expenses like Office expense, Travel and other expenses are entered through payments voucher. If the payment mode is “Cheque” (Bank Ledger), then amount will be deducted from selected bank account else from “Cash:” Account.

Journal Voucher

Journal :- Accounts transactions not involving CASH / BANK are normally entered through Journal voucher. But we can use journal voucher for all transactions. Net Debit amount should be equal to Net Credit amount.      

Contra Voucher

Transfer between CASH & BANK are entered through Contra Voucher. Or CASH/BANK transaction screen. Cash deposited / withdrawn from bank, Clearing Cheques, Transferring money to Salary Account & Petty Cash account are done through Contra Voucher.

Student Nominal Roll

Route wise Student List

Daily Fee Collection Reports

Purchases done during the given period are shown in purchase report. Detailed reports are also available as per

user requirements.

Daily Fee Collection Report

Classwise Fees Dues

Daily Collection Summary

Daily Fee Collection Summary

Day Book

All Transactions excluding Cash & Bank are shown in Daybook. CASH transactions are shown in CASH Book and Bank transactions are shown in BANK BOOK.

CASH BOOK

CASH BOOK :- Accounts transactions involving only “CASH” are shown in CASH BOOK. Opening Balance, transactions during given period, Closing balance are shown in CASH BOOK.

All bank transactions are shown in the Bank Book.

Profit & Loss Account

Profit & Loss A/C for the period is shown in P & L A/C.

Receivables & Payables List

List of Receivable amounts with customer name and and Payable amount with customer name are shown in this screen.

For any query regarding Software, Accounting, facilities with E-Smart, Customisation of Software

Call : +91-8089611161, 9605354395, 9995579750

E-Mail : ps_elias@yahoo.in, eeetechglobal@yahoo.comwww.eeetechsolutions.com

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