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Bookkeeping Institute of Australia Pty Ltd.

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Mt. Gravatt Central
QLD. 4122, Australia

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Product ID: BIA-640
BI-640 MYOB Accounting PLUS with Payroll, GST & BAS Discounts Apply !
$50 discount if 2 or more people are booked on the same course
Extra $25 per person discount for each additional person booked on the same course
BI-640 MYOB Accounting PLUS with Payroll, GST & BAS

To view details of pricing, available course dates and payment options or to make a booking please
scroll down to the bottom of this page. All courses start at 9:15am and finish at 4pm.

BI-640 MYOB Accounting PLUS with Payroll, GST & BAS

General Description:

This 4 day course is designed for people with little or no knowledge of MYOB who wish to learn how to set up MYOB from scratch and who wish to learn how to use MYOB to perform the normal day-to-day bookkeeping operations required in a business or profession and to setup and manage a small business using MYOB Accounting to perform GST calculations for BAS statements on both a Cash basis and an Accrual Basis and to setup and manage a small business payroll using MYOB Accounting Plus.

This course incorporates the following courses:

  • BI-620 - 2 day Ready To Go with MYOB Accounting

  • BI-612 - 1 day MYOB Payroll

  • BI-614 - 1 day MYOB Accounting with GST/BAS for Advanced Users

Learning Outcomes:

At the completion of this courseware participants will be able to:

Day 1:

·         start and navigate around MYOB

·         enter customer and supplier details into MYOB's card file

·         write cheques to make payments

·         perform a bank reconciliation

·         setup inventory for a new company file

·         use the purchasing features of MYOB

·         pay for purchases that have been made from suppliers

·         make sales to customers

·         record customer payments

Day 2:

·         customise MYOB to operate in a number of ways

·         perform a number of file operations in MYOB

·         secure your MYOB file and the data in it

·         work with custom lists, custom fields, and identifiers to search  data

·         deal with more complex invoicing matters

·         setting up inventory for more complex items

·         use MYOB to manage point of sale transactions

·         export MYOB data to a spreadsheet program

·         customise MYOB forms to suit your own business needs.

Day 3:

·        setup MYOB Accounting Plus for payroll
·        conduct a pay run
·        create and track employee entitlements
·        pay employees electronically
·        display payroll information and generate reports
·        finalise the end of a pay year.

Day 4:

·        open a MYOB data file and enter cash sales
·        enter cash payments and recurring transactions from source documents
·        print cashbook and profit and loss reports
·        extract and record information from a bank statement
·        produce a bank reconciliation statement
·        record overcharges in sales, enter overpayments in sales & enter refunds

·        enter contra entries & record deposits collected on customer orders
·        set up electronic supplier payments
·        email invoices and statements
·        set up credit limits for customers
·        calculate the BAS figures using the calculation sheet method
·        view Tax Codes used in the data file
·        account for payments where GST does not equal 1/11th
·        pay an account for GST only
·       
enter the receipt of a Recipient Created Tax Invoice
·        key in a sale including GST amount
·        enter a payment for entertainment expenses
·        write an account off as a bad debt and view GST reports
·       
account for private use when the bill is paid
·        account Hire Purchase agreement and payment
·        account for a Fuel Tax Credit
·        account for Chattel Mortgage agreement and payment
·       
enter the purchase of an asset with GST
·        enter the purchase of an invoice from a supplier not registered for GST
·       
enter the purchase of an invoice from a supplier with no ABN

Target Audience:

People with little or no knowledge of MYOB who wish to learn how to set up MYOB from scratch and who wish to learn how to use MYOB to perform the normal day-to-day bookkeeping operations required in a business or profession and to setup and manage a small business using MYOB Accounting to perform GST calculations for BAS statements on both a Cash basis and an Accrual Basis and to setup and manage a small business payroll using MYOB Accounting Plus.  

Prerequisites:

Although previous MYOB skills are not required this is a reasonable working knowledge of Microsoft Windows and file management is desirable. If the participant does not have these skills they are taught on our BI-210 Introduction to PC's, Windows and Office course.

Basic accounting skills are not taught on this course but are included on our BI-560 Introduction to Bookkeeping & Accounting course.

Methodology:

 

A self-paced hands-on approach is taken during this course. A case study is used to produce real-life scenarios so that learners experience how to use the software to solve everyday problems and undertake routine tasks. A course manual is included in the cost of this course. Course files are provided with this courseware.

Certificate:

The Bookkeeping Institute of Australia will issue a Certificate of Achievement upon completion of this course.

 

Table of Contents

BI-610 Ready To Go with MYOB Accounting - Day 1

1. BASIC ORIENTATION

 1. Starting MYOB in Microsoft Windows

 2. The MYOB Screen

 3. Navigating the Command Centre

 4. Finding Transactions

 5. Other Things to Know About MYOB

  2. CARDS

 1. Cards Overview

 2. Entering Customer Details

 3. Entering Supplier Details

 4. Changing Credit Terms

 5. Choosing A Form Layout

3. CHEQUES

 1. Banking Overview

 2. Writing Cheques

 3. Recurring Cheques

 4. Using A Recurring Cheque

 5. Printing Cheques

 6. Receiving Money

4. RECONCILIATIONS

 1. Reconciliation Overview

 2. Producing A Reconciliation Report

 3. Accounting For Government Fees

 4. Bank Statements And The GST

 5. Performing A Reconciliation

5. SETTING UP INVENTORY

 1. Overview Of Inventory

 2. Entering Inventory Items

 3. More Complex Items

 4. Counting Stock And Adjusting Inventory

6. PURCHASES

 1. Purchasing Overview

 2. Simple Purchasing

 3. Raising A Purchase Order

 4. Printing Purchase Orders

 5. Emailing Purchase Orders

 6. Receiving Ordered Items

 7. Receiving Items Without The Bill

 8. Obtaining Quotes

 9. Completing Quotes

10. Restocking From Inventory

7. PAYING FOR PURCHASES

 1. Payments Overview

 2. Determining The State Of Your Payments

 3. Finding Due Dates

 4. Locating A Specific Order Or Bill

 5. Making Payments

8. SELLING

 1. Sales Overview

 2. Creating An Item Invoice

 3. Checking The Sales Journal

 4. The Invoice From Hell

 5. Printing Invoices

 6. Emailing An Invoice

 7. Entering Cash Sales

9. RECEIVABLES

 1. Receivables Overview

 2. Applying Payments

 3. Applying Payments To Multiple Invoices

 4. Preparing A Bank Deposit Slip

 5. Printing An Invoice Statement

 6. Printing An Activity Statement

 7. Analysing Sales Performance

BI-620 Ready To Go with MYOB Accounting — Day 2

1. CREATING A NEW COMPANY FILE

 1.  Getting Ready For MYOB

 2.  Creating A New Company File

 3.  Activating Your Company File

2. CHART OF ACCOUNTS

 1.  Chart Of Accounts Overview

 2.  Starting MYOB With A Specific File

 3.  Modifying Existing Accounts

 4.  Header And Detail Accounts

 5.  Deleting Accounts

 6.  Linking Accounts

 7.  Checking Tax Codes

 8.  Preparing For Electronic Banking

3. PETTY CASH

 1.  Petty Cash Overview

 2.  Setting Up For Petty Cash

 3.  Raising A Petty Cash Float

 4.  Accounting For Petty Cash

4. CREDIT CARDS

 1.  Credit Card Overview

 2.  Spending Using A Credit Card

 3.  Mixed GST Spending

 4.  Paying Bills With A Credit Card

 5.  Reconciling The Credit Card Account

 6.  Paying Your Credit Card Account

5. MYOB AND THE GST

 1.  GST Overview

 2.  Tax inclusive transactions

 3.  Examining tax codes

 4.  Withholding tax

 5.  Examining GST accounts

 6.  Running GST reports

6. BUSINESS ACTIVITY STATEMENT

 1.  Business Activity Statement overview

 2.  Preparing to use BASlink

 3.  Creating additional GST account numbers

 4.  Running pre-BAS reports

 5.  Setting up the BASlink worksheet

6.  Entering values directly

 7.  Calculating your PAYG instalment

 8.  Creating BAS transaction information

 9.  Making the tax payment

7. END OF MONTH

 1.  End Of Month Overview

 2.  Reconciling The Bank Account

 3.  Performing A GST Check-Up

 4.  Checking Customer & Supplier Balances

 5.  Checking Your Payroll Obligations

 6.  Fulfilling Payroll Obligations

 7.  Checking The Inventory Balance

 8. END OF YEAR

 1.  End Of Year Overview

 2.  Creating Stock Take Adjustment Accounts

 3.  Performing Stock Take Adjustments

 4.  Entering Depreciation

 5.  Writing Off Bad Debts

 6.  Settling The Bad Debt

 7.  Understanding Prepayments

 8.  Pro Rata Prepayment Adjustment

 9.  Accrued Expenses

10. Starting A New Financial Year

11. Start Of Year Adjustments

BI-612 MYOB Payroll - Day 3

1. SETTING UP PAYROLL

1. Overview Of Payroll

2. Opening The Data File

3. Setting Up Basic Payroll Information

4. Understanding Payroll Categories

5. Creating A New Deduction

6. Enhancing Payroll Accounts

7. Linking Categories And Accounts

8. Setting Up Payroll Quick Reference

2. SETTING UP EMPLOYEES

1. Overview Of Employees

2. Entering Employee Profiles

3. Entering Payroll Details

4. Entering Payroll History

5. Entering More Employees

6. Setting Up Employees Quick Reference

3. CONDUCTING A PAY RUN

1. Overview Of Conducting A Pay Run

2. Paying Salaried Employees

3. Paying Wages To Employees

4. Printing Pay Cheques

5. Printing Pay Advice Slips

6. Printing A Payroll Summary

7. Conducting A Pay Run Quick Reference

4. ENTITLEMENTS

1. Overview Of Entitlements

2. Changing Entitlement Categories

3. Activating Entitlements

4. Entering Carry Overs

5. Working With Entitlements

6. Reviewing Entitlements

7. Staff Entitlements

8. Reviewing Staff Entitlements

9. Running Entitlement Reports

10. Entitlements Quick Reference

5. ELECTRONIC PAYROLL

1. Overview Of Electronic Payroll

2. Setting Up Bank Details

3. Entering Employee Banking Details

4. Paying Employees Electronically

5. Processing The Pays

6. Printing Employee Pay Slips

7. Electronic Payroll Quick Reference

6. PAYROLL INFORMATION

1. Overview Of Payroll Information

2. Analysing Employee Pays

3. Payroll Categories

4. Payroll Summary Reports

5. Payroll Information Quick Reference

7. PAYROLL END OF YEAR

1. Overview Of Payroll End Of Year

2. Creating Payment Summaries

3. Starting A New Year

4. Payroll End Of Year Quick Reference.

BI-614 - MYOB Accounting with GST/BAS for Advanced Users — Day 4

1. BANKING COMMAND CENTRE

1. Looking at the Banking Preferences

2. Entering Payments from Cheque Butts

3. Saving a Recurring Payment

4. Using a Recurring Payment

5. Checking the Accuracy of Data Entered

6. Correction of Errors

7. Using Bank Register to enter a payment

8. Setting up Undeposited Funds in your Data File

9. Entering Cash Sales

10. Recording the Banking of Undeposited Funds

11. Entering more Cash Sales

12. Printing the Bank Register

13. Entering a Petty Cash Payment

14. Entering a Credit Card Payment

15. GST Collected/Paid Report

16. Calculating the GST Refund/Payment

17. Profit and Loss [Cash] Report for the Month

2. RECONCILING YOUR BANK ACCOUNT

1. Reconciling the Cheque A/C with the Bank Statement

2. Entering Bank Charges [Account Keeping Fees]

3. Printing the Bank Reconciliation Statement

4. Undo the Bank Reconciliation

5. Print the Balance Sheet

6. Reconciling a Downloaded Bank Statement

3. ADVANCED SALES & PURCHASES FEATURES

1. Recording an Overcharge

2. Recording an Overpayment

3. Writing a REFUND cheque

4. Handling a Contra Entry

5. Recording Deposits from Customers

6. Recording an Order with a Deposit as a Sale

7. Handling Lay-bys [Notes only]

8. Batch emailing invoices/purchase orders

9. Batch Emailing Statements

10. Automating the process

11. Setting up and Controlling Credit Limits

12. Entering a Sale with Credit Limit Protection

4. PREPARING THE BUSINESS ACTIVITY STATEMENT

1. Before Preparing your Business Activity Statement

2. Setting up BAS Information for reporting GST

3. Selecting your Reporting Period

4. Preparing your Business Activity Statement

5. Setting up GST Amounts you Owe the ATO from Sales

6. Setting up GST Amounts the ATO owes you from Purchases

7. The Front Sheet and Back Sheets of the BAS

8. Printing the Business Activity Statement

9. Printing the BAS Transaction Facsimile

10. Saving your BAS

11. Creating a Rounding A/c

12. Entering your BAS Payment

13. Creating a BAS Journal

14. Locking your Data File

5. GST AND THE BAS

1. Viewing Tax Codes

2. Explanation of the MYOB Tax Codes

3. Explanation of the BAS “G” Sales Codes

4. Using the Calculation Worksheet for Sales Calculations

5. Explanation of the BAS “G” Purchase Codes

6. Using the Calculation Worksheet for Purchase Calculations

7. Information on completing the Activity Statement

8. Reporting Your Taxes on the BAS

9. When GST is not equal to 1/11th of the Total Amount

10. Paying an Account for GST only

11. Rounding the GST amount

12. Recipient Created Tax Invoices

13. Entering a payment for Entertainment Expenses

14. Creating a Sales Invoice entering GST inclusive amounts

15. Writing a Customer off as a Bad Debt

16. Accounting for Private Use

17. Purchase of an Asset including GST on Credit

18. Purchase of an Asset [going concern] – GST Free

19. Supplier not Registered for GST

20. Supplier without an ABN

21. Purchase of a new Motor Vehicle using a Chattel Mortgage

22. Purchase of a new Motor Vehicle on Hire Purchase

23. Accounting for Insurance Funding Arrangements

24. Claiming Fuel Tax Credits

25. Recording Diesel purchased for the farm

26. Input Taxed Receipts and Payments

27. Entering sale of an asset

28. Printing Reports

29. Enter a credit sale

30. Voluntary Agreements

31. Before preparing the Activity Statement

32. Print the Reconciliation Reports

33. Brown’s Enterprises Bank Statement

34. Running the Company Data Auditor

35. Displaying your GST detail report

36. Print Quarterly Reports

37. Reconciling the GST – reporting on a Cash Basis

38. Setting up BAS Information

39. Selecting your Reporting Period

40. Preparing your Business Activity Statement

41. Setting up GST Amounts you Owe the ATO from Sales

42. Setting up GST the ATO owes you from Purchases

43. Viewing Front Sheet of BAS

44. Setting up Voluntary Withholding

45. Reporting the Fuel Tax Credit

46. Linking labels to Accounts

47. Print the Audit Report Summary

48. Print the Business Activity Statement

49. Print the BAS Transaction Journal

50. Saving your BAS

51. BAS Checklist

52. Notes on Luxury Car Tax

53. Purchase of a car with Luxury Car Tax 

   
 
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List Price: $1,355.00
Price: $1,086.36 ($1,195.00 Inc. GST)

 
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