Difference between revisions of "How to configure InfiniteERP high level?"
(→Initial Setup) |
|||
(12 intermediate revisions by the same user not shown) | |||
Line 1: | Line 1: | ||
+ | {{Languages|Template:WorkInProgress}} | ||
+ | |||
This is simple step how to configure InfiniteERP or Openbravo ERP in general. | This is simple step how to configure InfiniteERP or Openbravo ERP in general. | ||
== Initial Setup == | == Initial Setup == | ||
− | === Client | + | === Client === |
− | # Initial client setup | + | # Run Initial client setup |
− | # | + | # Create new organization type (optional, required when you need organization that represent as a business unit) |
− | # | + | # Initial organization setup for group company |
− | # | + | # Initial organization setup for legal entity (COA included) |
− | # | + | # Initial organization setup for company branch |
− | # | + | # Create fiscal calendar for each legal entity |
− | # | + | # Create fiscal year for each created fiscal calendar |
− | # | + | # Generate period for each fiscal year |
− | # | + | # Apply fiscal calendar on legal entity organization |
− | # | + | # Set as ready on group company organization (thick cascade checkbox) |
− | == Role == | + | === Role === |
− | # | + | # Create a role, pay more attention to '''''manual''''' field |
− | # | + | # Create record on organization access tab, window access tab, process definition tab, and other tab as required |
# | # | ||
− | == User == | + | === User === |
− | # | + | # Create new user |
− | # | + | # Assign user role to created user account |
# | # | ||
− | == Financial Account | + | === Financial Account === |
# make sure all COA for bank account already exists | # make sure all COA for bank account already exists | ||
# make sure all COA for bank in transit (temporary account) already exists | # make sure all COA for bank in transit (temporary account) already exists | ||
Line 35: | Line 37: | ||
=== Tax === | === Tax === | ||
− | # | + | # Make sure all COA for taxation already exists |
− | # | + | # Make a new tax category |
− | # | + | # Make a new business partner tax category |
− | # | + | # Make a new tax rate, pay attention to field below: tax category, country, and business partner tax category. |
− | # | + | # Verify accounting configuration for this tax rate |
=== Product === | === Product === |
Latest revision as of 08:42, 26 June 2024
Languages: |
ContentsTemplateThis sub-template doesn't display properly when not included. Please see Template:Languages for the complete version. UsageThis template is designed to simplify Template:Languages, by allowing a simpler syntax for adding new languages. Each language is included by calling this template with the following parameters:
This template should not be used anywhere except in the Languages template. </noinclude> | Translate this article... |
This is simple step how to configure InfiniteERP or Openbravo ERP in general.
Initial Setup
Client
- Run Initial client setup
- Create new organization type (optional, required when you need organization that represent as a business unit)
- Initial organization setup for group company
- Initial organization setup for legal entity (COA included)
- Initial organization setup for company branch
- Create fiscal calendar for each legal entity
- Create fiscal year for each created fiscal calendar
- Generate period for each fiscal year
- Apply fiscal calendar on legal entity organization
- Set as ready on group company organization (thick cascade checkbox)
Role
- Create a role, pay more attention to manual field
- Create record on organization access tab, window access tab, process definition tab, and other tab as required
User
- Create new user
- Assign user role to created user account
Financial Account
- make sure all COA for bank account already exists
- make sure all COA for bank in transit (temporary account) already exists
- create a new payment method
- create a financial account (header)
- assign payment method to financial account (financial account || payment method)
- verify accounting configuration for this financial account
Master Data
Tax
- Make sure all COA for taxation already exists
- Make a new tax category
- Make a new business partner tax category
- Make a new tax rate, pay attention to field below: tax category, country, and business partner tax category.
- Verify accounting configuration for this tax rate
Product
- pastikan COA expense sudah lengkap
- pastikan COA revenues sudah lengkap
- pastikan COA CoGS sudah lengkap
- pastikan COA persediaan sudah lengkap
- pastikan COA selisih harga pembelian sudah lengkap
- buat master product category
- pastikan seting akuntansi pada product category sudah tepat
- buat master produk, hati-hati pada field tax category dan product category
Business Partner
- buat payment term
- pastikan COA hutang sudah lengkap
- pastikan COA piutang sudah lengkap
- pastikan COA barang diterima dimuka sudah lengkap
- buat master business partner category
- buat master business partner
- pada sub tab location/address isikan alamat business partner
- pada sub tab customer (jika ini adalah BP customer), isikan default payment term dan payment method
- pada sub tab vendor (jika ini adalah BP vendor), isikan default payment term dan payment method
Warehouse
- pastikan COA penyesuaian persediaan sudah lengkap
- buat warehouse
- buat storage bin
- registrasi warehouse pada window organization sub tab warehouse
- buat costing rule
- click validate pada costing rule
Transaksi Pembelian (Requisition –> Purchase Order –> Goods Receipt –> Purchase Invoice –> Payment Out)
- buat requisition (optional)
- complete requisition (wajib jika requisition digunakan)
- konversi requisition menjadi PO melalui form requisition to order (wajib jika requisition digunakan)
- buat PO (optional, namun jika pakai requisition, maka PO otomatis terbentuk dari requisition to order form)
- complete PO (wajib jika PO digunakan, namun PO otomatis complete jika via requisition to order form jika requisition digunakan)
- buat goods receipt, create lines from, pilih dari PO (wajib jika PO berisi stocked product)
- complete goods receipt (wajib jika goods receipt digunakan)
- terbentuk jurnal otomatis untuk pengakuan persediaan
- buat purchase invoice, create lines form, pilih dari GR (wajib jika goods receipt digunakan, harus buat lines manual jika purchase invoice berdiri sendiri – tidak berdasar PO/GR)
- complete purchase invoice (wajib)
- terbentuk jurnal otomatis untuk pengakuan hutang
- terbentuk dokumen matched invoice (jika ada link dari PI ke GR)
- terbentuk jurnal otomatis untuk menyesuaikan selisih harga dan membalik barang diterima dimuka (ada jika terbentuk matched invoice)
- buat payment out, tarik purchase invoice yang akan dibayar
- terbentuk dokumen finalcial account || transaction secara otomatis
- terbentuk jurnal yang menutup hutang dan mengurangi kas secara otomatis (berdasarkan financial account || transaction)
Transaksi Penjualan (Sales Order –> Goods Shipment –> Sales Invoice –> Payment In)
- buat sales order (optional)
- complete sales order (wajib jika SO digunakan)
- buat goods shipment, create lines from, pilih dari SO (wajib jika SO berisi stocked product)
- complete goods shipment (wajib jika goods shipment digunakan)
- terbentuk jurnal otomatis untuk pengakuan CoGS
- buat sales invoice, create lines form, pilih dari GS (wajib jika goods shipment digunakan, harus buat lines manual jika sales invoice berdiri sendiri – tidak berdasar SO/GS)
- complete sales invoice (wajib)
- terbentuk jurnal otomatis untuk pengakuan pendapatan
- buat payment in, tarik sales invoice yang diterima pelunasannya
- terbentuk dokumen finalcial account || transaction secara otomatis
- terbentuk jurnal yang menutup piutang dan menambah kas secara otomatis (berdasarkan financial account || transaction)
Stock Opname
- pastikan table physical inventory di window general ledger configuration sub tab active table, sudah ada.
- buat physical inventory
- buat physical inventory list
- lakukan perhitungan fisik dan catat hasilnya di field quantity count
- complete physical inventory, saldo persediaan akan diupdate sesuai dengan quantity count
- terbentuk jurnal penyesuaian persediaan pada persedian secara otomatis
Rekonsiliasi Bank
- buka window financial account
- klik button reconcile
- masukkan tanggal rekonsiliasi
- masukkan saldo akhir bank per taggal rekonsiliasi
- centang transaksi bank yang sudah tertera di bank statement
- jika sisa sudah nol, maka klik reconcile
- jika tidak, klik tombol save.
- buat transaksi bank untuk pending transaction berdasar bank statement
- ulangi langkah 2 tapi lewati langkah 3 dan 4 sehingga langsung ke langkah 5
- transaksi bank (financial account transaction) akan hilang dan pindah ke sub tab tab reconciliation