Search User Manual

I: Introduction

1.1 Overview

1.2 EasyFS Process

1.3 Purpose of this User Manual

1.4 Who Should Use This Manual

1.4 Best Practices and System Limitations

1.4.1 Setting up the Master Files

1.4.2 Internet Connection

1.4.3 Device Shutdown

II. Version History

2.1 Overview

2.2 Gamma.003.001

2.3 Gamma.004.003

2.4 Gamma.004.004

2.5 Gamma.004.004

2.6 Gamma.004.004

2.7 Gamma.004.005

III: Getting Started

3.1 Introduction

3.2 Accessing EasyFS

3.2.1 Logging In

3.2.2 Forgot Password

3.2.3 The Dashboard Page

3.2.4 Navigating EasyFS

IV: Master Files

4.0 Overview

4.1 Setup Master Files

4.1.1 Item

4.1.1.1 How to Add an Item Manually

Unit Conversion

Price

General Ledger Accounts

Save and Lock

4.1.1.2 Add Item Via Import Function

4.1.2 Customer

4.1.2.1 Add Customer Manually

4.1.2.2 Add Customer Via Import Function

4.1.3 Supplier

4.1.3.1 Add Supplier Manually

4.1.3.2 Add Supplier Via Import Function

4.1.4 Company

Company List

Company Detail

4.1.5 Users

Users List

List of All Users that were added to the System

Users Detail

4.1.6 Chart of Accounts

4.1.6.1 Chart of Accounts Lists

4.1.6.2 Manual Add Chart of Accounts

4.1.6.2 Add Chart of Accounts via Upload Account

4.1.7 Bank

4.1.7.1 Bank List

4.1.7.2 Manual Add of Bank

4.1.8 Currency

4.1.8.1 Currency List

4.1.8.2 Manual Add of Currency

4.2 Update Master Files

4.2.1 Item

4.2.1.1 Manual Update Item Detail

4.2.1.2 Update Item Detail in Bulk

4.2.2 Supplier

4.2.2.1 Manual Update Supplier Detail

4.2.2.1 Update Supplier Detail in Bulk

4.2.3 Customer

4.2.3.1 Manual Update Customer Detail

4.2.3.1 Update Customer Detail in Bulk

V: Transactions

5.1 Overview

5.2 Purchases Transaction Module

5.2.1 Purchase Request

Overview

Purchase Request List

Purchase Request Detail

Cancel Purchase Request Transaction

5.2.2 Purchase Order

Overview

Purchase Order List

Purchase Order Detail

Purchase Order Transaction via Upload Template

Cancel Purchase Order Transaction

5.2.3 Receiving Receipt

Overview

Receiving Receipt Detail

Receiving Receipt List

Cancel Receiving Receipt Transaction

5.2.4 Disbursement

Overview

Disbursement List

Disbursement Detail

Cancel Disbursement Transaction

5.2.5 Debit Memo

Debit Memo List

Debit Memo Detail

Debit Memo Transaction via Upload Template

Cancel Debit Memo Transaction

5.3 Sales Transaction Module

5.3.1 Sales Order

Overview

Sales Order List

Sales Order Detail

Sales Order Transaction via Upload Template

Cancel Sales Order Transaction

5.3.2 Sales Invoice

Overview

Sales Invoice List

Sales Invoice Detail

Sales Invoice Transaction via Upload Template

Cancel Sales Invoice Transaction

5.3.3 Collection

Overview

Collection List

Collection Detail

Collection Transaction via Upload Template

Cancel Collection Transaction

Overview

Scenario 1: Single  Branch

Item Creation/Management

Purchase Order

Receiving Receipt

Sales Invoice

Inventory Report

Scenario 2: Multi-Branch

Item Creation/Management

Stock Transfer Request

Stock Transfer

Sales Invoice

Inventory Report

Scenario 3: Extra-Ordinary Activities

Extraordinary Stock In

Extraordinary Stock Out

Scenario 4: Multi-Branch with EasyPOS Integration

Item Creation/Management

Supplier Creation/Management

Customer Creation/Management

Purchase Order

Receiving Receipt

Sales (easyPOS)

Official Receipt (easyPOS)

POS Apps (easyFS)

Sales Invoice

Collection/ Payment

Inventory Report

5.4.1 Stock In

Overview

Stock In List

Stock In Detail

Customer Return via Stock In

5.4.2 Stock Out

Overview

Stock Out List

Stock Out Detail

Supplier Return via Stock Out

5.5 Stock Transfer Request

Overview

Stock Transfer Request List

Stock Transfer Request Detail

5.6 Stock Transfer

Overview

Stock Transfer List

Stock Transfer Detail

5.7 Stock Withdrawal

Stock Withdrawal List

Stock Withdrawal Detail

5.8 Stock Count

Stock Count List

Stock Count Detail

5.9  Inventory Ledger

Inventory Ledger List

Inventory Ledger Detail

6.0: Financials Transactions

7.2 Bank Reconciliation

Bank Reconciliation Detail

7.3 Journal Voucher

Overview

Journal Voucher List

Journal Voucher Detail

Reports

Accounts Payable Reports

Accounts Payable Report

Accounts Payable Voucher Report

Accounts Payable By Currency Report

Purchase Request Summary Report

Purchase Request Detail Report

Purchase Order Summary Report

Purchase Order Detail Report

Purchase Order Detail With Balance Report

Receiving Receipt Summary Report

Receiving Receipt Detail Report

Disbursement Summary

Disbursement Detail Report

Print or Download the PDF Report

Debit Memo Summary Report

Debit Memo Detail Report

Supplier Journal

Supplier Item Report

Available Item Per Batch Report

Top Purchased Item Report

Top Supplier Report

Cancelled Purchase Request Report

Cancelled Purchase Order Report

Cancelled Receiving Receipt Report

Accounts Receivable Report

Accounts Receivable Summary Report

Accounts Receivable by Term Report

Accounts Receivable by Currency Report

Accounts Receivable Report (One Month)

Statement of Account

Statement of Account (By Date Range)

Statement of Account By Term

Counter Receipt

Customer Advances

Sales Order Summary Report

Sales Order Detail Report

Sales Invoice Summary Report

Sales Invoice Detail Report

Collection Summary Report

Collection Summary by PayType Report

Collection Detail Report

Customer Journal

Sold Item Per Batch Report

Top Selling Item

Top Selling Branch

Cancelled Sales Order Report

Cancelled Sales Invoice Report

Cancelled Collection Report

Credit Memo Summary Report

Credit Memo Detail Report

Sales Invoice Detail Report with Cost

Financial Reports

General Ledger

Trial Balance

Balance Sheet

Account Ledger

Disbalance Journal Entries

Income Statement

Cash Flow Statement

Chart of Accounts

Top Expenses

Top Income

Receiving Receipt Book

Disbursement Book

Debit Memo Book

Sales Invoice Book

Collection Book

Credit Memo Book

Journal Voucher Book

Inventory Ledger Book

Inventory Report

Inventory Report Per Item

Stock In Detailed Report

Stock Out Detailed Report

Stock Transfer Detailed Report

Stock Count Detailed Report

Physical Count Sheet

Top Item Inventory Onhand

Top Moving Item

Stock Card

Check Warehousing Report

PDC Summary Report

Bounced Check Report

PDC Cleared Report

PDC Uncleared Report

Budget Reports

Report Budget

Report CashFlow Projection

Fixed Asset Reports

Fixed Asset Detail Report

Asset Disposal Summary Report

Asset Disposal Detail Report

BIR CAS Reports

General Journal

General Ledger

Sales Journal

Cash Receipt Journal

Purchase Journal

Cash Disbursement Journal

Inventory Ledger Journal

Form 2306

Form 2307

Form 0619 - E

Form 0619 - F

Form 1601 - FQ

Form 1601 - EQ

Form 1604 - E

Form 1604 - F

Form 1702 - Q

Form 1702 - RT

Form 2550 - M

Form 2550 - Q

VIII : Check Warehousing

8.1 Check Warehousing

Check Warehousing List

Check Warehousing Detail

8.2 Check Writer

Check Writer Detail

IX : Budget

9.0 Overview

9.1 Budget Manager

Budget Manager List

Budget Manager Detail

Cash Flow Projection Detail

X : Fixed Asset

10.0 Overview

Fixed Asset List

10.2 Asset Disposal

Asset Disposal List

Asset Disposal Detail

XI : Apps

11.0 Overview

11.1 Price

11.1.1 Overview

11.1.2 How to Setup a Price

XII : System

12.0 Overview

XIII: Integration

13.1 Overview

13.1.1 Benefits of Integration

13.2 Types of Integration

13.2.1 EasyPOS Integration Overview

Benefits:

13.3 How to Set Up Integrations

13.3.1 EasyPOS Integration

13.4 Managing Integrations

13.4.1 EasyPOS Integration

13.5 Guidelines for Integrations: Do’s and Don'ts

13.5.1 EasyPOS Integration

IX: Definition of Terms

X: FAQ

Report CashFlow Projection

A report cash flow projection is a financial forecast outlining the expected inflows and outflows of cash for a future period, typically used for planning and decision-making.

To generate Report CashFlow Projection, here are the steps to follow:

  1. Go to Budget
  2. Select Budget Reports
  3. Click Report Budget
  4. Select Month from and Month To
  5. Select Year
  6. Select Branch
  7. Click Export to Download Template

Fixed Asset Reports

A fixed asset report is a document that provides detailed information about the tangible assets owned by an organization, such as land, buildings, machinery, equipment, and vehicles. It typically includes details like the asset’s description, acquisition cost, depreciation, current value, and location. This report helps in tracking, managing, and accounting for fixed assets within an organization.

Fixed Asset Report

A fixed asset report is a summary of the organization’s tangible properties, detailing their descriptions, costs, depreciation, and current values.

To generate Report CashFlow Projection, here are the steps to follow:

  1. Go to Fixed Asset
  2. Select Reports
  3. Click Fixed Asset Report
  4. Select Branch
  5. Click Functions for (Download Data and Refresh)

Fixed Asset Detail Report

A Fixed Asset Detail Report provides a comprehensive overview of individual tangible assets owned by an organization, including descriptions, acquisition details, depreciation, and current values.

To generate Fixed Asset Detail Report, here are the steps to follow:

  1. Go to Fixed Asset
  2. Select Reports
  3. Click Fixed Asset Detail Report
  4. Select Asset
  5. Click Functions for (Download Data and Refresh)

Asset Disposal Summary Report

An Asset Disposal Summary Report is a document that provides a concise overview of assets that have been sold or disposed of by an organization.

To generate Asset Disposal Summary Report, here are the steps to follow:

  1. Go to Fixed Asset
  2. Select Reports
  3. Click Asset Disposal Summary Report
  4. Enter Start and End Date
  5. Select branch
  6. Click Functions for (Download Data and Refresh)

Asset Disposal Detail Report

An Asset Disposal Detail Report has a thorough breakdown of individual assets that have been sold or disposed of by an organization. It typically includes specific details like asset descriptions, sale prices, dates, and any associated financial transactions. This report provides a granular view of the organization’s asset disposal activities for detailed analysis and record-keeping purposes.

To generate Asset Disposal Detail Report, here are the steps to follow:

  1. Go to Fixed Asset
  2. Select Reports
  3. Click Asset Disposal Detail Report
  4. Enter Start and End Date
  5. Select branch
  6. Click Functions for (Download Data and Refresh)

BIR CAS Reports

General Journal

A chronological record of financial transactions of a business. It is a book where all accounting entries are initially recorded before they are transferred to the ledger accounts. The general journal is part of the double-entry accounting system, which means that for every transaction recorded in the journal, there are at least two accounts involved—one account is debited, and another account is credited.

To generate General Journal, here are the steps to follow:

  1. Click Dashboard Module
  2. Scroll Down till you see the BIR CAS Report
  3. Click BIR CAS Report
  4. Click General Journal
  5. Enter Start and End Date
  6. Select the Branch
  7. Click Preview
  8. Click Functions Button to Download or Refresh the report

General Ledger

A core component of the accounting system in which a business maintains a complete record of all its financial transactions. It serves as a central repository for all accounts, organized by account type, and provides a comprehensive overview of the company’s financial position.  The general ledger is organized into various accounts, each representing a different aspect of the business, such as assets, liabilities, equity, revenue, and expenses.

To generate General Ledger, here are the steps to follow:

  1. Click Dashboard Module
  2. Scroll Down till you see the BIR CAS Report
  3. Click BIR CAS Report
  4. Click General Ledger
  5. Enter Start and End Date
  6. Select Branch
  7. Click Preview Button
  8. Click Function Button to Refresh the report

Sales Journal

A specialized accounting journal used to record all sales transactions of a business. It is part of the broader accounting system and is particularly helpful for businesses that have a high volume of sales transactions. The Sales Journal is one of the subsidiary journals, each designed for a specific type of transaction, which together with the general journal, form the complete accounting system.

To generate Sales Journal, here are the steps to follow:

  1. Click Dashboard Module
  2. Scroll Down till you see the BIR CAS Report
  3. Click BIR CAS Report
  4. Click Sales Journal
  5. Enter Start and End Date
  6. Select Branch
  7. Click Preview Button
  8. Click Function Button to Refresh the report

Cash Receipt Journal

A Cash Receipt Journal is a specialized accounting ledger used to record all cash inflows to a business. This journal is part of the subsidiary ledger system and is specifically designed to keep track of all transactions involving incoming cash. It typically includes detailed information about each transaction, such as the date, the amount received, the source of the cash, and the account affected by the transaction.

To generate Cash Receipt Journal, here are the steps to follow:

  1. Click Dashboard Module
  2. Scroll Down till you see the BIR CAS Report
  3. Click BIR CAS Report
  4. Click Cash Receipt Journal
  5. Enter Start and End Date
  6. Select Branch
  7. Click Preview Button
  8. Click Function Button to refresh the report

Purchase Journal

Also known as the Purchases Journal, is another specialized accounting journal used to record all purchases of goods on credit by a business. Similar to the Sales Journal, it is a subsidiary journal designed for a specific type of transaction. The Purchase Journal is particularly useful for businesses that engage in a significant volume of credit purchases.

To generate Purchase Journal, here are the steps to follow:

  1. Click Dashboard Module
  2. Scroll Down till you see the BIR CAS Report
  3. Click BIR CAS Report
  4. Click Purchase Journal
  5. Enter Start and End Date
  6. Select Branch
  7. Click Preview Button
  8. Click Function Button to refresh report

Cash Disbursement Journal

A Disbursement book, also known as a Cash Disbursement Journal, is a record of all payments made by a business. This book helps businesses track their expenses, manage cash flow, and maintain accurate financial records for accounting and auditing purposes.

To generate Cash Disbursement Journal, here are the steps to follow:

  1. Click Dashboard Module
  2. Scroll Down till you see the BIR CAS Report
  3. Click BIR CAS Report
  4. Click Cash Disbursement Journal
  5. Enter Start and End Date
  6. Select Branch
  7. Click Preview Button
  8. Click Function Button to refresh the report

Inventory Ledger Journal

An Inventory Ledger Journal is an accounting record used to track and manage the inventory transactions of a business. It is a detailed record that captures all inventory-related movements and adjustments, providing a comprehensive view of inventory levels and values over time.

To generate Inventory Ledger Journal, here are the steps to follow:

  1. Click Dashboard Module
  2. Scroll Down till you see the BIR CAS Report
  3. Click BIR CAS Report
  4. Click Inventory Ledger Journal
  5. Enter Start and Ending Date
  6. Select Branch
  7. Click Preview Button

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