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Fitrix is a
complete,
robust
and affordable Accounting & Distribution
software
solution
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Your Accounts Payable personnel do more than just pay the
bills. They are involved in building a relationship with your vendor by
making sure all payments and contractual conditions are fulfilled. They also
add to the bottom line when taking advantage of vendor discounts offered by
paying invoices in a timely manner. Managing your suppliers needs while
managing your cash flow requires a flexible and adaptable Accounts Payable
system.

The Fitrix Accounts Payable module provides a
comprehensive solution for managing your cash expenditures. It records
transactions and obligations to vendors, offers flexible cash disbursement
capabilities, and takes advantage of discounts offered for invoices paid by
the discount due date. The financial reports available include a payables
aging report and a future cash requirements report which provide valuable
business insight for cash management decisions.
Features/Function Highlights
- Modular Integration Direct integration with the
Purchasing and General Ledger modules
- Online Access To Vendor Activity and History the
vendor activity program provides a listing of all invoices entered in the
database for the vendor with flexible sort and query logic plus drilldown
to payment history capabilities
- Automatic Payment Selection Select invoices for
automatic payment based upon the due date, discount due date or vendor.
Select individual invoices for full or partial payment
- Vendor Hold ability to flag a vendor as On Hold so
that automatic payment selection will not pay the vendor
- Remittance Address supports multiple Pay-To
addresses
- 1099 Form automatic creation of year end 1099 forms
- Recurring invoice capabilities Automatically creates
recurring invoices such as a monthly lease payment without repetitive data
entry
- Remittance Advice Report prompted after each check
run to print a remittance advices for all checks where the number of
invoices paid do not fit on the standard check stub
- Check Reconciliation Program multiple checking account
capabilities with a program to reconcile General Ledger balances to you
various bank statements
- Use Tax multilevel taxing capabilities for multiple
localities such as state, county, and city. Canadian tax handling (GST/PST)
is also supported
- Account Groups the ability to set up a group of
general ledger accounts by an account group code that is stored with the
vendor code. This code is then used in when entering vendor invoices so
that you do not have to remember the GL distribution for the invoice
thereby streamlining data entry
Reporting
Reports available include:
- Vendor Aging
- Vendor Ledger
- Vendor Open Item Report
- Cash Requirements Report
- Check Register
- Outstanding Checks Report
- Check Reconciliation Report
- GL Activity By Account Number for AP Transactions Only
- Vendor Labels
- Vendor 1099s
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