Gx Nominal Menu
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The options on the Gx Nominal Menu are:

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Gx Nominal | Account Details
This program allows you to create nominal account codes.  It can also be used to  view nominal account enquiries

Gx Nominal | Journals
This gives you access to the programs for nominal journal postings, recurring journals, accruals, prepayments and nominal batch enquiry

Gx Nominal | Cash Book
This gives you access to the cash book journals program and the bank reconciliation program. 

Gx Nominal | Reports
This gives access to the nominal ledger reports menu, which includes the Trial Balance.  Refer to the Nominal Reports sub-chapter in the Reports chapter for instructions on running each report. 

Gx Nominal | VAT Return
This allows you to print the figures required for your vat return

Gx Nominal | Management Accounts
This allows you to create and print Management Accounts

Gx Nominal | Period End
This allows you to run the nominal ledger period end.

Gx Nominal | Options
This gives you access to another set of menu options.  These include programs for setting up Nominal Ledger Period End Dates and Nominal Ledger Parameters