WINPACCS for Financial administrators
This webinar demonstrates the many and varied options for configuring the Financial administration in WINPACCS.
Starting with the organisation’s master data, we’ll show you all you need to know on how to set up WINPACCS efficiently and to tailor it to your needs.
Alongside the key organisation settings, learn about the account classes and account groups that WINPACCS works with. We’ll explain how to set up and configure accounts and sub-accounts.
We’ll also describe how to set up journal categories so that you can manage which transaction categories are available in your journals.
Another focus will be on setting up categories for unsettled items and schedules with their due dates.
You’ll also learn how to create cost centres.