A Step-by-Step Million Accounting Workbook



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This workbook is designed according to the latest version of MILLION Accounting Software. It is catered mainly for companies which would like to computerise their account departments. The simple step-by-step guide aids beginner understanding. It is in every confidence that this workbook will beneficial to all. All rights reserved. No part of this publication may be reproduced, stored in a retrieval system, or transmitted in any form or by any means; electronic, mechanical, photocopying, recording and or otherwise, without the prior written permission of Million Software Sdn Bhd No patent liability is assumed with respect to the use of the information contained herein. Every precaution has been made to supply complete and accurate information. However, Million Software.neither resumes responsibility for its use, nor for any infringement of patents or other rights of third parties which would result. COPYRIGHT 2011. Million SOFTWARE Sdn Bhd (Last Modified on June 2014) Published By: MILLION SOFTWARE SDN BHD Head Office: 35A, Jalan Kebudayaan 4, Taman University, 81300 Skudai, Johor Bahru, Johor. Tel :+6(07)520 3434 Fax :+6(07)520 1949 Branch Office: 72-2,Persiaran Bayan Indah, Bayan Bay, 11900 Bayan Lepas Penang. Tel: +6(04)638 4911 Website: www.million.my E-mail: support@million.my / sales@million.my Copyright of Million Software Sdn Bhd Page 1

1. System Requirements Before we continue, please ensure that your computer has the minimum specifications mentioned below. Processor Type Processor Speed Operating System Memory (RAM) Hard Disk Display Other Devices Pentium 4 or higher 1GHz or higher Microsoft Windows XP or later 1GB or more Approximately 1GB of available hard-disk space Super VGA (1024 X 768) or higher-resolution video adapter or monitor Mouse or compatible pointing devices Copyright of Million Software Sdn Bhd Page 2

CONTENTS Page 1. Preface 1 2. System Requirement 2 3. Content 3 4. Lesson 1 - Setting Company Profile 4-8 - Create chart of accounts - Create Debtor & Creditor account - Organise batches - Add / Edit / Delete Transaction - Print Reports - Assignment 1 5. Lesson 2 - Open Item Debtor & Creditor 8 15 - Foreign Currency Transaction - Enter opening balance - Maintain Stock Value - Post Dated Cheques - Bank Reconciliation Statement - Transaction involving period 13 - Year End Processing - Assignment 2 6. Lesson 3 - Departmental Account 16-19 - Assignment 3 7. Lesson 4 - Manufacturing Account 20-23 - Maintain Multiple Stock Value - Assignment 4 8. Lesson 5 - Non Profit Organization Account 24-27 -Assignment 5 9. Lesson 6 GST Assignment 28-32 10. Answers for Assignments 33-45 11. Appendix I - Sample Chart of accounts 46-51 - Trading Company - Manufacturing Company - Non-Profit Organisation Account Copyright of Million Software Sdn Bhd Page 3

Lesson 1 Objectives: Learn how to: (1) Set up Company Profile (2) Create Chart of Accounts (3) Debtor and Creditor File Maintenance (4) Maintain Batches (5) Be able to differentiate between Single and Fast Entry at GL Transaction (6) Print the Chart of Accounts, General Ledger and Trading and Profit & Loss Account (7) Learn the correct way to backup your directory (8) Edit Chart of Accounts (9) Learn how to Search for a Transaction Edit a Transaction Delete a Transaction Copyright of Million Software Sdn Bhd Page 4

ASSIGNMENT 1 Go to System General Setup Company, to add the following company profile Company Name : Sunrise Trading Sdn Bhd Registration No. : 168958-A Accounting Period : 01/01/2012 31/12/2012 Actual Start Date : 01/01/2012 Set the format type for the accounts codes: Account Format: XXXX/XXXX ( System General Setup Options ) 1. Create the following Chart of Account Numbers: (Go to General GL Accounts Add the below general chart of accounts.) Account Number A/C Description A/C Group Classified As 1000/0000 Capital Capital & Reserves - 1050/0000 Retained Earning Capital & Reserves Retained Earning 1051/0000 Current Profit & Loss Capital & Reserves Current Year Profit / (Loss) 3000/0000 Trade Debtors Current Assets Debtor 3010/0000 Bank Current Assets Bank 3020/0000 Cash In Hand Current Assets Cash 4000/0000 Trade Creditors Current Liabilities Creditor 5000/0000 Sales Revenue Sales 6010/0000 Purchases Cost Of Goods Sold Purchases 9001/0000 Discount Allowed Expenditure - 9005/0000 Salaries Expenditure - 9010/0000 Telephone Expenditure - 9015/0000 Water & Electricity Expenditure - 2. Add the following Debtors: (Go to Debtors Debtor Maintenance Add) Phone Debtor No. Name Billing Address Numbers 3000/M001 Maya Plastic Trading 112, Jalan Payu, Tampoi, JB 07-3340707 3000/M002 Microsoft Sdn Bhd No. 5, Jalan Harimau, KL 03-9543262 3000/S001 Sakura Communication Co 333, Jalan Bintang, Penang 04-3322556 3. Add the following Creditors: (Go to Creditors Creditor Maintenance Add) Phone Creditor No. Name Address Numbers 4000/A001 Aloha Corporation No. 10, Jalan Suria 19, JB 07-3328378 4000/T001 Time Dotcom Sdn Bhd No. 56, Jalan Merah, KL 03-5432626 Copyright of Million Software Sdn Bhd Page 5

4. Create the following batches: (General Batch Add) Code Description Batch Type 10 CREDIT SALES Sales 20 CREDIT PURCHASES Purchases 30 BANK Bank 40 CASH Cash 50 CN / DN Journal (Select From Month = January To January Year = 2012 Generate Yes) 5. Add the following Credit Sales Transactions (Go to Debtors Invoice Add ) Ref. No. RM 02/01/2012 Sales to Maya Plastic Trading Inv2001 13,600.00 05/01/2012 Sales to Microsoft Sdn Bhd Inv2002 3,500.00 06/01/2012 Sales to Sakura Communication Co Inv2003 18,000.00 6. Add the following Credit Purchases Transactions ( Go to Creditors Purchases Invoice Add ) Ref. No. RM 01/01/2012 Purchased from Aloha Corporation Inv 2100 17,600.00 05/01/2012 Purchased from Time Dotcom Sdn Bhd I 88556 8,800.00 7. Add the following Bank Transactions (Go to General Cash Book Payment Add) Ref. No. RM 31/01/2012 Salaries PV0101 1,800.00 31/01/2012 Telephone PV0102 500.00 31/01/2012 Water & Electricity PV0103 300.00 8. Add the following Cash Transactions (Go to General Cash Book Receipt Add) Ref. No. RM 21/01/2012 Cash Sales CS 0001 70.00 31/01/2012 Cash Sales CS 0002 100.00 Copyright of Million Software Sdn Bhd Page 6

9. Add the following Receive Transactions. (Go to Debtors Receive Payment Add) Ref. No. RM 21/01/2012 Received Payment from Maya OR0001 13,000.00 Plastic 10. Add the following Payment Transactions. (Go to Creditors Pay Bills Add) Ref. No. RM 31/01/2012 Paid to Time Dotcom Sdn Bhd PV0104 5,000.00 11. Add the following Credit Note to Journal (Go to Debtors Credit Note Add ) Ref. No. RM 31/01/2012 Being discount allowed to Maya CN 0001 600.00 Plastic Trading for Invoice No.: Inv2001 12. View the following Reports: (i) Print Batch of Transactions (General More Report Print Batch Of Transaction) (ii) Bank Ledger (General View Ledgers) (iii) Trial Balance (General Trial Balance) (iv) Trading And Profit & Loss Account (General Profit & Loss Account) 13. Save a copy of data into hard disk (C drive), or others drive. (i) Go to System Backup Database (ii) Enter the directory path as C:\BACKUP\SUNRISE\ (iii) Click on the Backup button to backup. Experiments 1. Change the Account Description from Telephone to Telephone Charges. (Go to General GL Accounts Filter Edit) 2. Change the Sales amount for Maya Plastic Trading from RM13, 600.00 to RM13, 600.50. (Go to Debtors Invoice Filter Edit Reverse) 3. Delete the entire transaction for Cash Sales No. CS 0001 of RM70.00. (Go to General Cash Book Receipt Delete) 4. Change the Bank Account Number from 3010/000 to 3050/0000. (Go to System Administrative Tools Change Data User ID & Password: Admin Accounts) Copyright of Million Software Sdn Bhd Page 7

Lesson 2 Objectives: (1) Maintain Company Profile - Set the Accounting Year (2) Generate Sample Chart of Accounts -Trading Company (3) Debtor / Creditor - Maintain Debtor / Creditor accounts - B/F Transactions - Sales Invoice / Purchase Invoice - Receive Payment / Pay Bills - Knock off Bills (4) Enter Foreign Currency transaction (5) Cash Book entry - Payment - Receipt (6) Maintain Closing Stock Value (7) Post Dated Cheque (8) View Reports - Debtor Statement - Aging Reports - Payment Due (9) Year End Processing - Backup Copyright of Million Software Sdn Bhd Page 8

ASSIGNMENT 2 Company Profile (System General Setup Company) Company Name : Wong Long Sdn Bhd R.O.C. No. : 123456-A Address Accounting Year : 01/01/2012 31/12/2012 Actual Starting Date : 01/11/2012 : 123 Jalan Seroja 39, Taman Johor Jaya, 81100 Johor Bahru Set the format type for the accounts codes: Account Format: XXXX/XXXX ( System General Setup Options ) 1. Create a Sample Chart Of Account (General GL Accounts Sample Trading Account Generate enter admin user name & password Login Yes OK) 2. Maintain Debtors Accounts (Debtors Debtor Maintenance Add) Debtor A/C Name 3000/S001 Sakura Trading Sdn Bhd 3000/S002 Seng Tech Sdn. Bhd. 3000/U001 United Co. Sdn Bhd 3000/V001 Victor Pte. Ltd Currency: SGD Currency Rate: 2.30 * (Go to General Miscellaneous Currency SGD Exchange Rate Add Date from 01/11/2012 To 30/11/2012 Save) 3. Creditors Accounts (Creditors Creditor Maintenance Add) Creditor A/C Name 4000/L001 Lee C.S. Sdn Bhd Copyright of Million Software Sdn Bhd Page 9

4. Enter the following opening as at 31/10/2012 (General A/C Opening Balance) Description Debit Credit (RM) (RM) Capital 18,000.00 Retained Earning 1,150.00 Sakura Trading 9,500.00 United Co. S/B 3,500.00 Bank PBB A/C 9,000.00 Cash 150.00 Stock 8,000.00 Lee C. S. Sdn Bhd 11,000.00 30,150.00 30,150.00 Note: Lock the opening balance. 5. The Company has two debtors and their Unpaid Bills till 31/10/2012 are shown below (Debtors B/F Transaction Add) Date Account No. Bill No. Description Amount (RM) 01/09/2012 3000/S001 I 9801 Sales 2,500.00 03/09/2012 3000/S001 I 9802 Sales 1,800.00 18/10/2012 3000/S001 I 9803 Sales 3,500.00 24/10/2012 3000/S001 I 9804 Sales 1,700.00 05/08/2012 3000/U001 I 9805 Sales 1,950.00 29/08/2012 3000/U001 I 9806 Sales 1,550.00 Note: Use the List button to check whether there is difference between debtor opening balance and total B/F transaction. 6. Generate Lee C. S. Sdn Bhd Outstanding Bills from opening balance (Creditors B/F Transaction List Generate Yes) 7. Generate a set of Batches for November 2012 (General Batch Add Sample Yes OK ) Code Description Batch Type 10 Sales Sales 20 Purchases Purchase 30 Bank Bank 40 Cash Cash 50 Journal Journal (Select From Month = November to December Year = 2012 Generate Yes) Copyright of Million Software Sdn Bhd Page 10

8. Enter the following transactions for the month of November 2012 Batch: Sales (Debtors Invoice Add) Date Description Ref No. Amount 01/11/2012 Sakura Trading I 9820 1,230.00 02/11/2012 United Co. I 9821 1,010.00 26/11/2012 United Co. I 9822 250.00 28/11/2012 Seng Tech Sdn Bhd I 9823 500.00 30/11/2012 Victor Pte. Ltd I 9824 $500.00 (Currency Rate : 2.30) 9. Batch: Purchases (Creditors Purchase Invoice Add) Date Description Ref No. Amount 07/11/2012 Lee C. S. S/B 8208 2,300.00 21/11/2012 Lee C. S. S/B 8220 1,100.00 10. Batch: Bank (Debtors Receive Payment Add) Date Description Chq No. Ref No. Amount 02/11/2012 Sakura Trading PBB155661 OR0001 2,500.00 Pay For:I 9801 02/11/2012 United Co. RHB224455 OR0002 1,000.00 Pay For:I 9806 07/11/2012 United Co. RHB221158 OR0003 550.00 Pay For:I 9821 24/11/2012 Sakura Trading PBB155770 OR0005 4,500.00 Pay For:I 9803 & I 9804 28/11/2012 Seng Tech Sdn Bhd TLB551144 OR0006 500.00 Pay For:I 9823 30/11/2012 Victor Pte.Ltd SBB553222 OR0007 $500.00 Pay For:I 9824 (Currency Rate : 2.20) 01/12/2012 Sakura Trading PBB155800 OR0009 1,230.00 Pay For:I 9820 28/12/2012 United Co. RHB233100 OR0010 250.00 Pay For:I 9822 11. (General Cash Book Receipt Add) Date Description Chq No. Ref No. Amount 08/11/2012 Rental Income BOC776601 OR0004 1,000.00 01/12/2012 Sundry Income PBB144333 OR0008 500.00 05/12/2012 Rental Income BOC776602 OR0011 1,000.00 Copyright of Million Software Sdn Bhd Page 11

12. (General Cash Book Payment Add) Date Description Chq No. Ref No. Amount 05/11/2012 Water & Electricity PBB886601 PV0001 180.00 28/11/2012 Salary PBB886602 PV0002 1,800.00 28/12/2012 Salary PBB886605 PV0003 2,000.00 13. Batch: Cash (General Cash Book Payment Add) Date Description Ref No. Amount 20/11/2012 Stationery CV0001 15.00 25/11/2012 Stamps CV0002 20.00 14. (General Cash Book Receipt Add) Date Description Ref No. Amount 05/11/2012 Cash Sales CS 0001 300.00 17/11/2012 Cash Sales CS 0002 100.00 15. Batch: Journal (Debtors Credit Note Add) Date Description Ref No. Amount 28/11/2012 Goods Return from Sakura CN0001 700.00 For Invoice no.: I 9804 16. Enter Closing Stock Value for Year 2012 (General Maintain Stock Value Add Save Enter Closing Stock Add ) Opening Stock Value as at 01/11/2012 = RM 8,000.00 Closing Stock Value as at 31/12/2012 = RM2,200.00 17. Received a Post Dated Cheques (PDC) from a Debtor (i) Enter the following PDC transaction Batch: Bank Dec 2011 (Debtors Receive Payment Add) Date Description (Pay For) Chq No. Ref No. Amount 25/12/2012 Sakura Trading (I 9802) PBB155886 PDC12/01 1,800.00 (ii) View Debtor Statement for 30 Nov 2012 (Debtors Debtor Reports Debtor Statement Print Preview) Copyright of Million Software Sdn Bhd Page 12

18. The following is the Bank Statement as at 31/10/2012 (General Bank Reconciliation Select Bank PBB A/C Edit Maintain B/F Trans Add) Bank Reconciliation Statement as at 31/10/2012 Balance as per Bank Statement 7,500.00 Add: Deposits Not Credited By Bank 01/10/2012 OR 2145 Sakura Trading Sdn Bhd 2,000.00 PBB 149875 20/10/2012 OR 2166 Rental Received 1,800.00 3,800.00 MBB 154477 11,300.00 Less: Unpresented Cheque 28/10/2012 PV 1897 Water & Electricity 500.00 PBB234891 30/10/2012 PV1854 Rental 1,800.00 2,300.00 PBB146321 Balance as per Bank Account 9,000.00 Copyright of Million Software Sdn Bhd Page 13

19. The following is the Bank Statement as at 30/11/2012 (General Bank Reconciliation Select Bank PBB A/C Edit Select the Statement Date = November 2012 Refresh) PUBLIC BANK BERHAD (Johor Bahru) Wong Long Sdn Bhd Statement 123, Jalan Seroja 39, (Customer Copy) Taman Johor Jaya, 81100 Johor Bahru, Johor. Date Transaction Description Transaction Amount Balance (RM) (RM) Balance B/F 7,500.00 05/11/2012 Local Cheque Deposit 155661 2,500.00 10,000.00 09/11/2012 Debit Cheque Deposit 224455 1,000.00 11,000.00 20/11/2012 Debit Cheque Deposit 776601 1,000.00 12,000.00 28/11/2012 Debit Cheque Deposit 155770 4,500.00 16,500.00 30/11/2012 Debit Cheque 886602 1,800.00-14,700.00 Total of debit items : 9,000.00 4 Total of credit items : 1,800.00 1 Note: 1. All items and balances shown above will be considered correct unless the Bank is notified of any discrepancy within 14 days. 2. Please notify us of any change of address in writing. View the Bank Reconciliation Statement as at November 2012 Result: Balance as per Bank Statement = RM 14,700.00 Balance as per Bank Account = RM 18,170.00 20. Experiment (i) The bill for United Co. OR 0003 is wrongly knocked off and should be knocked off against Invoice no.: I 9806 instead. Reverse Bills (Debtors Knock Off Bill Edit Reverse) Knock Off again the correct Invoice with the payment. (Debtors Knock Off Bill Edit Edit) 21. View the following debtors reports for Nov 2012 (i) Preview Debtor Statement (Debtors Debtor Reports Debtors Statement OK Statement Date: 30/11/2012) Copyright of Million Software Sdn Bhd Page 14

(ii) Preview Debtor Aging (Debtors Debtor Reports Debtors Aging OK To Date: 30/11/2012) Aging by Month ) (iii) Preview Debtor Payment Due (Debtors Debtor Reports Debtors Payment Due OK To Date: 30/11/2012) 22. Enter the following Sales invoice for January 2013 (General Batch Add From/To Month: January Year: 2013 Generate Yes) (General GL Transaction Quick Entry Sales Invoice OK) Batch: Sales Date Description Ref No. Amount 02/01/2013 Sakura Trading Sdn Bhd Inv 2093 1,600.00 05/01/2013 United Co. Sdn Bhd Inv 2094 5,000.00 17/01/2013 Seng Tech Sdn Bhd Inv 2095 1,530.00 23. Year end processing for Year 2012 (System Backup Database Backup To: C:\Backup\Wonglong\ Backup) (System Administrative Tools Year End Closing OK enter admin user & password Copyright of Million Software Sdn Bhd Page 15

Lesson 3 Objectives: (1) Learn how to use Project Code to handle Departmental Account (2) Learn how to maintain Department Stock Value (3) Learn how to use the Consolidated Account to print out columnised Profit & Loss Account for all the departments. (4) At the end of this assignment, the student should be able to apply the concept to other type of accounts such as contract accounts with many projects, branch accounts, organization with many cost centers, etc. Copyright of Million Software Sdn Bhd Page 16

ASSIGNMENT 3 Departmental Account 1. Seng Long Supermarket has 3 departments accounts. The 3 departments are: Ladies, Gents & Children. Their accounting year starts from 01/01/2012 to 31/12/2012. Account Format: XXXX/XXXX ( System General Setup Options ) 2. Using the following codes to maintain the department codes respectively:- (Go to General Miscellaneous Project Add) Project Description Date Start Date Complete LD Ladies 01/01/2012 31/12/2012 GT Gents 01/01/2012 31/12/2012 CD Children 01/01/2012 31/12/2012 3. Maintain General accounts. (General GL Accounts Add) A/C No. A/C Description Account Group Classified As 1000/0000 Capital Capital & Reserves - 1050/0000 Retained Earning Capital & Reserves Retained Earning 1051/0000 Current Profit / Loss Capital & Reserves Current Year Profit/(Loss) 3010/0000 Cash In Hand Current Assets Cash 3020/0000 Bank Current Assets Bank 3100/0000 Stock Current Assets Closing Stock 4000/0000 Trade Creditor Current Liabilities Creditor 5000/0000 Cash Sales Revenue Sales 6000/0000 Opening Stock Cost Of Goods Sold Opening Stock 6010/0000 Purchases Cost Of Goods Sold Purchases 6100/0000 Closing Stock Cost Of Goods Sold Closing Stock 9010/0000 Salary Expenditure - 9020/0000 Insurance Expenditure - 9030/0000 Rental Expenditure - 4. Maintain Creditor s accounts (Creditors Creditor Maintenance Add) Creditor No. Company Name 4000/L001 Lee Corporation 4000/R001 R & D Fashion 4000/J001 JJ Fashion Copyright of Million Software Sdn Bhd Page 17

5. Organise January s batches (General Batch Add Sample Yes OK ) (Select From Month = January To January Year = 2012 Generate Yes) 6. Enter the following transactions for the respective department: Purchases (Go to Creditors Purchase Invoice Add) Departments Date Description Ref. No. Ladies Gents Children 01/01/2012 Lee Corporation Auto (PI001) 6,000.00 5,000.00 4,500.00 02/01/2012 R & D Fashion Auto 3,000.00 1,000.00 1,500.00 09/01/2012 JJ Fashion Auto 9,000.00 4,800.00 3,500.00 Cash (Go to General Cash Book Receipt Add) Departments Date Description Ref. No. Ladies Gents Children 11/01/2012 Cash Sales Auto (CS001) 10,000.00 8,000.00 7,500.00 12/01/2012 Cash Sales Auto 5,000.00 3,000.00 2,500.00 13/01/2012 Cash Sales Auto 12,000.00 6,800.00 5,500.00 Bank (Go to General Cash Book Payment Add) Departments Date Description Ref. No. Ladies Gents Children 21/01/2012 Salary Auto (PV001) 1,600.00 1,500.00 1,450.00 21/01/2012 Insurance Auto 300.00 100.00 150.00 25/01/2012 Rental Auto 900.00 480.00 350.00 7. The stock value for each department ( Go to General Maintain Stock Value Add ) Ladies Gents Children Total Stock as at 01/01/2012 (Opening) 6,000.00 5,000.00 4,500.00 15,500.00 Stock as at 31/01/2012 (Closing) 5,000.00 3,000.00 1,500.00 9,500.00 Copyright of Million Software Sdn Bhd Page 18

Go to General Maintain Stock Values to enter the above Closing stock values. Project Bal. Sheet Closing Stock Description P&L Opening Stock P&L Closing Stock LD 3100/0000 Stock 6000/0000 6100/0000 GT 3100/0000 Stock 6000/0000 6100/0000 CD 3100/0000 Stock 6000/0000 6100/0000 8. View reports for each department: (i) View the respective departments Profit and Loss Account; (Go to General Profit and Loss Account Select Project Code) (ii) Print a consolidated Profit and Loss Account that includes all departments; (Go to General More Report Consolidated Account Maintain Generate Generate Project OK) Copyright of Million Software Sdn Bhd Page 19

Lesson 4 Objectives: Learn how to: (1) Create a Chart of Account for Manufacturing Account (2) Use the function of Special Account function (3) Maintain Multiple Opening & Closing Stock account (4) Print Manufacturing Account Copyright of Million Software Sdn Bhd Page 20

ASSIGNMENT 4 Manufacturing Account CREATIVE INDUSTRIES SDN BHD wishes to control their using Million Accounting System. Their accounting year is from 01/01/2012 to 31/12/2012. Account Format: XXXX/XXXX ( System General Setup Options ) 1. Create the following chart for the Manufacturing Account : A/C No A/C Description A/C Group Classified As Group To 7000/0000 Manufacturing Account Cost Of Goods Sold Cost Of Goods Manufactured 7000/0000 7000/1000 Raw Material Cost Of Goods Manufactured - 7000/1000 7000/1010 Opening Stock Raw Cost Of Goods Manufactured Opening Stock 7000/1000 Material 7000/1020 Purchases Of Raw Cost Of Goods Manufactured Purchases 7000/1000 Material 7000/1030 Carriage Inwards Cost Of Goods Manufactured - 7000/1000 7000/1040 Closing Stock Raw Cost Of Goods Manufactured Closing Stock 7000/1000 Material 7000/2000 Direct Labour Cost Of Goods Manufactured - 7000/2000 7000/2010 Product Wages Cost Of Goods Manufactured - 7000/2000 7000/2020 E.P.F. Contribution Cost Of Goods Manufactured - 7000/2000 (Production) 7000/2030 SOCSO Contribution Cost Of Goods Manufactured - 7000/2000 (Production ) 7000/3000 Factory Overhead Cost Of Goods Manufactured - 7000/3000 7000/3010 Factory Rental Cost Of Goods Manufactured - 7000/3000 7000/3020 Factory Expenses Cost Of Goods Manufactured - 7000/3000 7000/3030 Water & Electricity Cost Of Goods Manufactured - 7000/3000 (Factory) 7000/3040 Depreciation of Plant & Cost Of Goods Manufactured - 7000/3000 Machinery 7000/4000 Packing Material Cost Of Goods Manufactured - 7000/4000 7000/4010 Opening Stock Cost Of Goods Manufactured Opening Stock 7000/4000 Packing Material 7000/4020 Purchases of Packing Cost Of Goods Manufactured Purchases 7000/4000 Material 7000/4030 Closing Stock Cost Of Goods Manufactured Closing Stock 7000/4000 Packing Material 7000/5000 Work In Progress Cost Of Goods Manufactured - 7000/5000 Copyright of Million Software Sdn Bhd Page 21

7000/5010 Opening Work In Cost Of Goods Manufactured Opening Stock 7000/5000 Progress 7000/5020 Closing Work In Cost Of Goods Manufactured Closing Stock 7000/5000 Progress 1000/0000 Capital Capital & Reserves - 1000/0000 1050/0000 Retained Earning Capital & Reserves Retained Earning 1050/0000 1051/0000 Current Profit & Loss Capital & Reserves Current Year Profit / (Loss) 1051/0000 2001/0000 Plant & Machinery Fixed Assets Fixed Assets 2001/0000 2001/0050 Accum. Deprn. Plant Fixed Assets Accumulated Depreciation 2001/0000 & Machinery 3010/0000 Cash At Bank Current Assets Bank 3010/0000 3020/0000 Stock Current Assets Closing Stock 3020/0000 3020/1000 Stock Raw Material Current Assets Closing Stock 3020/1000 3020/4000 Stock Packing Current Assets Closing Stock 3020/4000 Material 3020/5000 Stock Work In Progress Current Assets Closing Stock 3020/5000 2. Organise January s batches (General Batch Add Sample Yes OK) (Select From Month = January To January Year = 2012 Generate Yes) 3. Add the following transactions for Jan 2012 : (Go to General Cash Book Payment Add) Bank Book Jan 2012 Date Description Ref. No. Amount 01/01/2012 Purchase of Raw Material PV2001 38,000.00 01/01/2012 Carriage Inward PV2002 120.00 07/01/2012 Production Wages PV2003 5,000.00 07/01/2012 E.P.F. Contribution (Production) PV2004 600.00 07/01/2012 SOCSO Contribution (Production) PV2005 50.00 07/01/2012 Factory Rental PV2006 3,000.00 15/01/2012 Factory Expense PV2007 30.00 15/01/2012 Water & Electricity (Factory) PV2008 1,000.00 18/01/2012 Upkeep of Machinery (7000/3050) PV2009 800.00 20/01/2012 Purchase of Packing Material PV2010 1,200.00 Journal Jan 2012 (General GL Transaction Add) Date Description Ref. No. Amount 31/01/2012 Depreciation of Plant & Machinery JV2001 5,600.00 Copyright of Million Software Sdn Bhd Page 22

4. The figures for Opening & Closing Stock as at 31/01/2012 are as follows: - ( Go to General Maintain Stock Value Add ) Opening Stock Closing Stock Raw Material 60,000.00 58,000.00 Packing Material 3,000.00 1,600.00 Work-in-progress 10,000.00 11,000.00 Go to General Maintain Stock Values to enter the above stock values. Project Bal. Sheet Closing Stock Description P&L Opening Stock P&L Closing Stock 3020/1000 Stock 7000/1010 7000/1040 3020/4000 Stock 7000/4010 7000/4030 3020/5000 Stock 7000/5010 7000/5020 5. Print the following Financial Reports: - i) Manufacturing Account (General More Reports Manufacturing Account) ii) Profit and Loss Account (General Profit & Loss Account) iii) Balance Sheet (General Balance Sheet) Copyright of Million Software Sdn Bhd Page 23

Lesson 5 Objectives: Learn how to: (1) Set up Company Profile (2) Create Chart of Accounts (3) Enter Opening Balance for The first month of financial year (4) Organise Batches (5) Add / Edit Transactions (6) Edit Account Type Description (7) View Report Copyright of Million Software Sdn Bhd Page 24

ASSIGNMENT 5 1. Company Profile (System General Setup Company) Company Name Address : XYZ Social Club Accounting Year : 01/01/2012 31/12/2012 Actual Starting Date : 01/01/2012 : 123 Jalan Seroja 47, Taman Johor Jaya, 81100 Johor Bahru Set the format type for the accounts codes: Account Format: XXXX/XXXX ( System General Setup Options ) General Accounts Account Number A/C Description A/C Group Classified As 1000/0000 Accumulated Fund B/F Capital & Reserved Retained Earning 1001/0000 Accumulated Fund Capital & Reserved Current Year Profit / Loss 2010/0000 Furniture & Fitting Fixed Assets Fixed Assets 2020/0000 Premises Fixed Assets Fixed Assets 3010/0000 Bank Current Assets Bank 3020/0000 Cash In Hand Current Assets Cash 3030/0000 Subscription in Arrears Current Assets - 4000/0000 Subscription in Advance Current Liabilities - 4005/0000 Other Creditors Current Liabilities - 8010/0000 Member Subscription Other Revenue - 8020/0000 Entrance Fees Other Revenue - 8030/0000 Donation Other Revenue - 8040/0000 Ground Rent Other Revenue - 8050/0000 Locker Rent Other Revenue - 8060/0000 Social Activities Other Revenue - 9001/0000 Rent and Rates Expenditure - 9005/0000 Salaries & Wages Expenditure - 9010/0000 Telephone Charges Expenditure - 9015/0000 Water & Electricity Expenditure - 9020/0000 Printing & Stationery Expenditure - 9025/0000 Sundry Expense Expenditure - 9030/0000 Upkeep of Furniture & Fitting Expenditure - 9040/0000 Expenses of Social Activities Expenditure - Copyright of Million Software Sdn Bhd Page 25

2. Following are the opening balances as at 01/01/2012: (Go to General Account Opening Balance) Description Debit (RM) Credit (RM) Accumulated Fund B/F 60,000.00 Furniture & Fitting 15,000.00 Premises 20,000.00 Bank 25,000.00 Cash In Hand 500.00 Subscription in Advance 500.00 60,500.00 60,500.00 3. Organise the batches as follows: (General Batch Add Sample Yes OK) (Select From Month = January To January Year = 2012 Generate Yes) Code Description Batch Type 10 Bank Receipts Bank 20 Bank Payments Bank 30 Cash Receipts Cash 40 Cash Payments Cash 50 Journal Journal 4. Following are the transactions for January 2012 Bank Receipts Jan 12 (Go to General Cash Book Receipt Add) Date Description Bill No. Cheque No. Amount 01/01/2012 Ground Rent OR 2001 SBB420000 2,800.00 10/01/2012 Members Subscription OR 2002 PBB123410 3,500.00 11/01/2012 Donation OR 2003 RHB433210 1,000.00 31/01/2012 Entrance Fees OR 2004 PBB420003 1,200.00 31/01/2012 Members Subscription OR 2005 PBB441152 4,500.00 31/01/2012 Social Activities OR 2006 CBB545541 6,000.00 Bank Payments Jan 12 (Go to General Cash Book Payment Add) Date Description Bill No. Cheque No. Amount 15/01/2012 Desks and Chairs (F&F) BPV 1001 PBB355001 1,000.00 15/01/2012 Rental BPV 1002 PBB355002 3,000.00 15/01/2012 Salaries BPV 1003 PBB355003 2,500.00 15/01/2012 Upkeep of Furniture & Fitting BPV 1004 PBB355004 500.00 Copyright of Million Software Sdn Bhd Page 26

15/01/2012 Water & Electricity BPV 1005 PBB355005 800.00 30/01/2012 Expenses of Social Activities BPV 1006 PBB355006 2,100.00 Cash Receipts Jan 12 (Go to General Cash Book Receipt Add) Date Description Bill No. Amount 01/01/2012 Members Subscription OR 8200 800.00 05/01/2012 Entrance Fees OR 8201 200.00 31/01/2012 Locker Rent OR 8202 450.00 Cash Payments Jan 12 (Go to General Cash Book Payment Add) Date Description Bill No. Amount 31/01/2012 Cleaning Fee CPV 001 1,000.00 31/01/2012 Upkeep of Furniture & Fitting CPV 002 40.00 31/01/2012 Sundry Expenses CPV 003 1,000.00 31/01/2012 Stationery CPV 004 60.00 5. Experiments i) Change the Bank Received from Members Subscription on 31/01/2012 from RM4,500.00 to RM4,800.00. ii) Change the Word Other Revenue to Income ( Go to System Administrative Tools Account Group ) iii) Change the Trading And Profit And Loss Account to Income And Expenditure Account NET PROFIT/(LOSS) to Accumulated Fund and RETAINED PROFIT/(LOSS) to Accumulated Fund B/F ( Go to General Profit and Loss Account Print Edit Report Wording ) 6. View the following information: (i) Chart of Accounts; (ii) Trial Balance as at 31/01/2012; (iii) Trading And Profit & Loss for the month ended 31/01/2012; (iv) Balance Sheet as at 31/01/2012; Copyright of Million Software Sdn Bhd Page 27

Lesson 6 Objectives: Learn how to: (1) Set up GST code (2) Transaction with GST Debtor Invoice Creditor Invoice (3) View GST report GST Transaction Listing GST FORM 3 Generate GAF GST Accrual report Copyright of Million Software Sdn Bhd Page 28

ASSIGNMENT 6 Company Profile (System General Setup Company) Company Name : Wonderful Sdn Bhd R.O.C. No. : 234567-H TAX No. : 345678 Address Accounting Year Actual Starting Date : 12 Jalan Permas Jaya 2/10, Taman Permas Jaya, 81100 Johor Bahru : 01/01/201x 31/12/201x : 01/11/201x Set the format type for the accounts codes: Ensure Account Format: XXXX/XXXX and GST entry is set up (System General Setup Options select GST Format MY) 1. Create a Sample Chart Of Account (General GL Accounts Sample Trading Account Generate enter admin user name & password Login Yes OK) 2. Set up GST code (General Miscellaneous GST Sample Select GST Output tax/input tax A/C No. Generate) 3. Maintain Debtors Accounts (Debtors Debtor Maintenance Add) Debtor A/C Name Default GST 3000/A001 Apple Trading Sdn Bhd SR 3000/T002 Tomato Design Sdn. Bhd. ZR 3000/U001 United Co. Sdn Bhd SRI 4. Creditors Accounts (Creditors Creditor Maintenance Add) Creditor A/C Name Default GST 4000/C001 Lee C.S. Sdn Bhd TX6 5. Add the following Nominal Accounts: Some account codes may have already been set up. Check and set up new accounts as required. (General GL Accounts Add) Copyright of Million Software Sdn Bhd Page 29

GL Number Account Name Account Type Account Group Classified as GST Code 9050/0000 Vehicle Repairs &Maintenance P&L Expenditure - TXI 6. Enter the following opening as at 31/10/201x (General A/C Opening Balance) Description Debit Credit (RM) (RM) Capital 23,000.00 Retained Earning 2,250.00 Apple Trading 8,300.00 United Co. S/B 3,300.00 Bank PBB A/C 5,000.00 Cash 1,150.00 Stock 5,000.00 Lee C. S. Sdn Bhd 2,500.00 25,250.00 25,250.00 Note: Lock the opening balance. 7. The Company has two debtors and their Unpaid Bills till 31/10/201x are shown below (Debtors B/F Transaction Add) Date Account No. Bill No. Description Amount (RM) 01/09/201x 3000/A001 INV 7801 Sales 2,800.00 03/09/201x 3000/A001 INV 7802 Sales 1,900.00 18/10/201x 3000/A001 INV 7803 Sales 3,600.00 05/08/201x 3000/U001 INV 7804 Sales 1,850.00 29/08/201x 3000/U001 INV 7805 Sales 1,450.00 Note: Use the List button to check whether there is difference between debtor opening balance and total B/F transaction. 8. Generate Lee C. S. Sdn Bhd Outstanding Bills from opening balance (Creditors B/F Transaction List Generate Yes) 9. Generate a set of Batches for November 201x (General Batch Add Sample Yes OK ) Code Description Batch Type 10 Sales Sales 20 Purchases Purchase 30 Bank Bank 40 Cash Cash 50 Journal Journal Copyright of Million Software Sdn Bhd Page 30

(Select From Month = November to December Year = 201X Generate Yes) 10. Enter the following transactions for the month of November 201x (Debtors Invoice Add) Date Description Ref.No. Amount GST type 01/11/201x Sales to Apple Trading INV 8920 1,230.00 SR 02/11/201x Sales to Tomato Design INV 8921 250.00 ZR 26/11/201x Sales to United Co. Pte Ltd INV 8922 1,000.00 SRI 28/11/201x Sales to Seng Tech INV 8923 USD 200.00 ZR * Exchange Rate: 3.78 11. Enter the following transaction of Purchase (Creditors Purchase Invoice Add) Date Description Ref No. Amount GST type 07/11/201x Lee C. S. S/B 8308 1,300.00 TX6 21/11/201x Lee C. S. S/B 8320 2,200.00 TX6 12. Enter the following transaction of Receive Payment (Debtors Receive Payment Add) Date Description Cheque No. Ref.No. Amount 28/12/201x Apple Trading PBB155661 OR0001 2,800.00 Pay For:INV7801 29/12/201x United Co. RHB224455 OR0002 1,850.00 Pay For:INV7804 30/12/201x Tomato Design. RHB221158 OR0004 250.00 Pay For:INV8921 13. Create the following customer credit note: On 23 Nov 201x, Issue a Credit Note No 100 to United Co. due to overcharges RM100 for the Invoice No. INV7805 (Debtors Credit Note Add) 14. Enter the following Petty Cash Transactions: (General Cash Book Payment Add) Copyright of Million Software Sdn Bhd Page 31

Petty Cash Voucher No. Date Details Amount RM Tax PCV 100 18-11-1x Office Stationery 58.50 Including tax PCV 101 18-11-1x DHL Courier 148.40 Including tax PCV 102 18-11-1x Coffee & Sugar 45.00 Zero-rated 15. Enter the following Bank Transactions: (General Cash Book Payment Add) Reference No Date Details Amount RM Tax RH100004 10-12-1x Fire Insurance No. 8899 RH100005 12-12-1x No. 1234 Van repairs RH100006 14-12-1x Forward Telecom Telephone bill 212.00 Including GST 6% 550.00 Excluding GST 6% 358.00 Including GST 6% RH100007 16-12-1x Advertising No. 3344 215.00 Including GST 6% RH100008 18-12-1x Paid Mr Chin Dec 201x Commission RH100009 22-12-1x Shop Rent Dec 201x No 12933 RH100012 27-12-1x Accounting Fees No 4455 Dec 201x 400.00 Out of Scope (N-T) 1,200.00 Excluding GST 6% 600.00 Excluding GST 6% RH100015 30-12-1x Sosco Dec 201x 25.90 Out of Scope (N-T) RH100016 30-12-1x EPF Dec 201x 288.00 Out of Scope (N-T) Copyright of Million Software Sdn Bhd Page 32

ANSWERS FOR LESSON * All the provided answers are for reports printed after the experiments / adjustments. LESSON 1 Copyright of Million Software Sdn Bhd Page 33

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LESSON 2 Copyright of Million Software Sdn Bhd Page 35

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LESSON 3 Copyright of Million Software Sdn Bhd Page 38

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LESSON 4 Copyright of Million Software Sdn Bhd Page 40

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LESSON 5 Copyright of Million Software Sdn Bhd Page 43

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APPENDIX I: SAMPLE CHART OF ACCOUNT TRADING COMPANY Account Description Account Type Account Group Classified As 1000/0000 Capital Balance Sheet Capital & Reserves - 1020/0000 Drawing Balance Sheet Capital & Reserves - 1050/0001 Retained Profit / (Loss) Balance Sheet Capital & Reserves Retained Earning 1050/0002 Current Year Profit / (Loss) Balance Sheet Capital & Reserves Current Year Profit / (Loss) 2010/0000 Furniture & Fitting Balance Sheet Fixed Assets Fixed Assets 2010/0005 Accum. Depn. Furniture & Fitting Balance Sheet Fixed Assets Accumulated Depreciation 2020/0000 Office Equipment Balance Sheet Fixed Assets Fixed Assets 2020/0005 Accum. Depn. Office Equipment Balance Sheet Fixed Assets Accumulated Depreciation 2030/0000 Motor Vehicle Balance Sheet Fixed Assets Fixed Assets 2030/1000 Motor Vehicle JEL 5368 Balance Sheet Fixed Assets Fixed Assets 2030/1050 Accum. Depn. M/V JEL5368 Balance Sheet Fixed Assets Accumulated Depreciation 2030/2000 Motor Vehicle JFL 613 Balance Sheet Fixed Assets Fixed Assets 2030/2050 Accum. Depn. M/V JFL 613 Balance Sheet Fixed Assets Accumulated Depreciation 3000/0000 Trade Debtors Balance Sheet Current Assets Debtor 3005/0000 Other Debtors Balance Sheet Current Assets - 3010/0000 Bank PBB Balance Sheet Current Assets Bank 3020/0000 Cash In Hand Balance Sheet Current Assets Cash 3030/0000 Stock Balance Sheet Current Assets Closing Stock 3040/0000 Deposit & Prepayment Balance Sheet Current Assets - 3040/1000 Deposit Water & Electricity Balance Sheet Current Assets - 3040/2000 Prepayment Insurance Balance Sheet Current Assets - 4000/0000 Trade Creditors Balance Sheet Current Liabilities Creditor 4005/0000 Other Creditors Balance Sheet Current Liabilities - 4010/0000 Accruals Balance Sheet Current Liabilities - 4020/0000 H. P. Creditors -PBB FINANCE (JFL 613) Balance Sheet Current Liabilities - 4030/0000 Term Loan MBB BANK Balance Sheet Current Liabilities - 5000/0000 Sales P&L Revenue Sales 5010/0000 Return Inwards P&L Revenue Sales Adjustment 5020/0000 Discount Allowed P&L Revenue Sales Adjustment 6000/0000 Opening Stock P&L Cost Of Goods Sold Opening Stock 6010/0000 Purchases P&L Cost Of Goods Sold Purchases Copyright of Million Software Sdn Bhd Page 46

6020/0000 Carriage Inwards P&L Cost Of Goods Sold Purchases Adjustment 6030/0000 Closing Stock P&L Cost Of Goods Sold Purchases Adjustment 9010/0000 Advertisement P&L Expenditure - 9020/0000 Bank Charges P&L Expenditure - 9030/0000 Depreciation of Fixed Assets P&L Expenditure - 9040/0000 Salaries P&L Expenditure - 9050/0000 Travelling P&L Expenditure - 9060/0000 Upkeep of Motor Vehicle P&L Expenditure - 9070/0000 Printing & Stationery P&L Expenditure - 9080/0000 Rental P&L Expenditure - 9090/0000 Water & Electricity P&L Expenditure - 9100/0000 Telephone Charges P&L Expenditure - 9110/0000 EPF Contribution P&L Expenditure - 9120/0000 SOCSO Contribution P&L Expenditure - 9900/0000 Taxation P&L Expenditure - Copyright of Million Software Sdn Bhd Page 47

MANUFACTURING COMPANY Account Description Account Type Account Group Classified As 1000/0000 Capital Balance Sheet Capital & Reserves - 1050/0001 Retained Profit / (Loss) Balance Sheet Capital & Reserves Retained Earning 1050/0002 Current Year Profit / (Loss) Balance Sheet Capital & Reserves Current Year Profit / (Loss) 2000/0000 Fixed Assets Balance Sheet Fixed Assets Fixed Assets 2000/1000 Furniture & Fitting Balance Sheet Fixed Assets Fixed Assets 2000/1050 Accum. Depn. Furniture & Fitting Balance Sheet Fixed Assets Accumulated Depreciation 2000/2000 Office Equipment Balance Sheet Fixed Assets Fixed Assets 2000/2050 Accum. Depn. Office Equipment Balance Sheet Fixed Assets Accumulated Depreciation 2000/3000 Motor Vehicle JEL 5368 Balance sheet Fixed Assets Fixed Assets 2000/3050 Accum. Depn. M/V JEL5368 Balance Sheet Fixed Assets Accumulated Depreciation 2000/4000 Plant & Machinery Balance Sheet Fixed Assets Fixed Assets 2000/4050 Accum. Depn. Plant & Machinery Balance Sheet Fixed Assets Accumulated Depreciation 2000/5000 Factory Equipment Balance Sheet Fixed Assets Fixed Assets 2000/5050 Accum. Depn. Factory Equipment Balance Sheet Fixed Assets Accumulated Depreciation 2010/0000 Goodwill Balance Sheet Fixed Assets - 3000/0000 Trade Debtors Balance Sheet Current Assets Debtor 3005/0000 Other Debtors Balance Sheet Current Assets - 3010/0000 Bank PBB Balance Sheet Current Assets Bank 3020/0000 Cash In Hand Balance Sheet Current Assets Cash 3030/0000 Stock Balance Sheet Current Assets Closing Stock 3030/1000 Stock Raw Material Balance Sheet Current Assets Closing Stock 3030/4000 Stock Packing Material Balance Sheet Current Assets Closing Stock 3030/5000 Stock Work In Progress Balance Sheet Current Assets Closing Stock 3030/6000 Stock Finished Goods Balance Sheet Current Assets Closing Stock 3040/0000 Deposit & Prepayment Balance Sheet Current Assets - 3040/1000 Deposit Water & Electricity Balance Sheet Current Assets - 3040/2000 Deposit Telephone Balance Sheet Current Assets - 3040/3000 Prepayment Insurance Balance Sheet Current Assets - 3050/0000 Fixed Deposit PBB (1-458722-23) Balance Sheet Current Assets - 4000/0000 Trade Creditors Balance Sheet Current Liabilities Creditor 4005/0000 Other Creditors Balance Sheet Current Liabilities - 4010/0000 Accruals Balance Sheet Current Liabilities - 4020/0000 H. P. Creditor - PBB FINANCE (JFL 613)Balance Sheet Current Liabilities - 4030/0000 Term Loan MBB BANK Balance Sheet Current Liabilities - Copyright of Million Software Sdn Bhd Page 48

5000/0000 Sales P&L Revenue Sales 5010/0000 Return Inwards P&L Revenue Sales Adjustment 5020/0000 Discount Allowed P&L Revenue Sales Adjustment 6000/0000 Opening Stock Finished Goods P&L Cost Of Goods Sold Opening Stock 6010/0000 Closing Stock Finished Goods P&L Cost Of Goods Sold Closing Stock 7000/0000 Manufacturing Account P&L Cost Of Goods Sold Cost Of Goods Manufactured 7000/1000 Raw Material P&L Cost Of Goods Manufactured - 7000/1010 Opening Stock Raw Material P&L Cost Of Goods Manufactured Opening Stock 7000/1020 Purchase Of Raw Material P&L Cost Of Goods Manufactured Purchases 7000/1030 Carriage Inwards P&L Cost Of Goods Manufactured - 7000/1040 Customs Duties P&L Cost Of Goods Manufactured - 7000/1050 Closing Stock Raw Material P&L Cost Of Goods Manufactured Closing Stock 7000/2000 Direct Labour P&L Cost Of Goods Manufactured - 7000/2010 Production Wages P&L Cost Of Goods Manufactured - 7000/2020 E. P. F. Contribution P&L Cost Of Goods Manufactured - 7000/2030 Socso Contribution P&L Cost Of Goods Manufactured - 7000/3000 Factory Overhead P&L Cost Of Goods Manufactured - 7000/3010 Factory Rental P&L Cost Of Goods Manufactured - 7000/3020 Factory Expenses P&L Cost Of Goods Manufactured - 7000/3030 Water & Electricity (Factory) P&L Cost Of Goods Manufactured - 7000/3040 Depn. Plant & Machinery P&L Cost Of Goods Manufactured - 7000/3050 Upkeep of Factory Machinery P&L Cost Of Goods Manufactured - 7000/3060 Upkeep of Factory Equipment P&L Cost Of Goods Manufactured - 7000/3070 Security Charges P&L Cost Of Goods Manufactured - 7000/4000 Packing Material P&L Cost Of Goods Manufactured - 7000/4010 Opening Stock Packing Material P&L Cost Of Goods Manufactured Opening Stock 7000/4020 Purchase of Packing Material P&L Cost Of Goods Manufactured Purchases 7000/4030 Closing Stock Packing Material P&L Cost Of Goods Manufactured Closing Stock 7000/5000 Work-In-Progress P&L Cost Of Goods Manufactured - 7000/5010 Opening Work-In-Progress P&L Cost Of Goods Manufactured Opening Stock 7000/5020 Closing Work-In-Progress P&L Cost Of Goofs Manufactured Closing Stock 8000/0000 Fixed Deposit Interest Received P&L Other Revenue - 8010/0000 Gain on Disposal Of Fixed Assets P&L Other Revenue - 9000/0000 Admin. Selling & General Exp. P&L Expenditure - 9000/0005 Advertisement P&L Expenditure - 9000/0100 Audit Fee P&L Expenditure - 9000/0150 Bonus P&L Expenditure - 9000/0200 Bank Interest & Charges P&L Expenditure - Copyright of Million Software Sdn Bhd Page 49

9000/0250 Director s Remuneration P&L Expenditure - 9000/0300 Depreciation Of Fixed Assets P&L Expenditure - 9000/0350 Entertainment P&L Expenditure - 9000/0400 E.P.F. Contributions P&L Expenditure - 9000/0450 General Expenses P&L Expenditure - 9000/0500 Hire Purchase Interest P&L Expenditure - 9000/0550 License Fee P&L Expenditure - 9000/0600 Medical Fee P&L Expenditure - 9000/0650 Office Rental P&L Expenditure - 9000/0700 Office Refreshment P&L Expenditure - 9000/0750 Postages & Stamps P&L Expenditure - 9000/0800 Printing & Stationery P&L Expenditure - 9000/0850 Road Tax & Insurance P&L Expenditure - 9000/0900 Socso Contributions P&L Expenditure - 9000/0950 Secretarial Fee P&L Expenditure - 9000/1000 Staff Salaries & Allowances P&L Expenditure - 9000/1050 Travelling Expenses P&L Expenditure - 9000/1100 Telephone P&L Expenditure - 9000/1150 Upkeep of Motor Vehicle P&L Expenditure - 9000/1200 Water & Electricity P&L Expenditure - Copyright of Million Software Sdn Bhd Page 50

NON-PROFIT ORGANISATION ACCOUNT Account Description Account Type Account Group Classified As 1000/0000 Accumulated Fund B/F Balance Sheet Capital & Reserves Retained Earning 1001/0000 Accumulated Fund Balance Sheet Capital & Reserves Current Year Profit / (Loss) 2010/0000 Motor Vehicle Balance Sheet Fixed Assets Fixed Assets 2010/0005 Accum. Depn. Motor Vehicle Balance Sheet Fixed Assets Accumulated Depreciation 2020/0000 Office Equipment Balance Sheet Fixed Assets Fixed Assets 2020/0005 Accum. Depn. Office Equipment Balance Sheet Fixed Assets Accumulated Depreciation 2030/0000 Office Renovation Balance Sheet Fixed Assets Fixed Assets 2030/0005 Accum. Depn. Office Renovation Balance Sheet Fixed Assets Accumulated Depreciation 3010/0000 Bar Stock Balance Sheet Current Assets Closing Stock 3020/0000 Subscription In Arrears Balance Sheet Current Assets - 3030/0000 Cash At Bank Balance Sheet Current Assets Bank 4000/0000 Bar Creditor Balance Sheet Current Liabilities Creditor 4010/0000 Subscription In Advance Balance Sheet Current Liabilities - 5000/0000 Sales P&L Revenue Sales 6000/0000 Opening Stock P&L Cost Of Goods Sold Opening Stock 6010/0000 Purchases P&L Cost Of Goods Sold Purchases 6020/0000 Closing Stock P&L Cost Of Goods Sold Closing Stock 8010/0000 Member Subscription P&L Other Revenue - 8020/0000 Entrance Fees P&L Other Revenue - 8030/0000 Donation P&L Other Revenue - 8040/0000 Grand Ball Receipts P&L Other Revenue - 8050/0000 Ground Rent P&L Other Revenue - 8060/0000 Locker Rent P&L Other Revenue - 9010/0000 Rent And Rates P&L Expenditure - 9020/0000 Printing & Stationery P&L Expenditure - 9030/0000 Affiliation Subscription P&L Expenditure - 9040/0000 Water & Electricity P&L Expenditure - 9050/0000 Salaries & Wages P&L Expenditure - 9060/0000 Lighting P&L Expenditure - 9070/0000 Prizes P&L Expenditure - 9080/0000 Sundry Expenses P&L Expenditure - 9090/0000 Telephone Charges P&L Expenditure - 9100/0000 Office Maintenance P&L Expenditure - 9110/0000 Depreciation P&L Expenditure - Copyright of Million Software Sdn Bhd Page 51