Knowledge Base Logo Contact Us Login
  • Home
  • Glossary
  • SGA University
    • Admin & Accounting Staff
      • User Setup & Maintenance (1 hour)
        • User Set Up & Maintenance - Introduction Video (1 min)
        • Chapter 1 - Users, Groups & Permissions Video (10 mins)
        • Chapter 2 - New User Set Up Video (11 mins)
        • Chapter 3 - User Groups Video (9 mins)
        • User Set Up & Maintenance End of Course Assignment
      • General Ledger (2 hours)
        • G/L: Introduction & Menu Overview Video (12 mins)
        • G/L: Chapter 1 - Accounts Screen Naviation Video (10 mins)
        • G/L: Chapter 2 - Adding G/L Accounts Video (9 mins)
        • G/L: Chapter 3 - Adding a G/L Segment Video (5 mins)
        • G/L: Chapter 4 - Journal Entries Video (10 mins)
        • G/L: Chapter 5 - J/E Batches Video (8 mins)
        • G/L: Chapter 6 - Recurring J/E's Video (7 mins)
        • G/L: Chapter 7 - G/L Settings Video (8 mins)
        • G/L: Chapter 8 - Month End Video (6 mins)
        • G/L: Chapter 9 - Year End Close Video (5 mins)
        • G/L: Chapter 10 - Reporting for General Ledger Video (7 mins)
        • General Ledger End of Course Assignment
      • Accounts Payable (2 hours)
        • A/P: Introduction Video (2 mins)
        • A/P: Chapter 1 - Vendor Screen Navigation Video (14 mins)
        • A/P: Chapter 2 - Maintain & Add Vendors Video (7 mins)
        • A/P: Chapter 3 - Invoice Batch List Video (7 mins)
        • A/P: Chapter 4 - Invoice Entry Video (15 mins)
        • A/P: Chapter 5 - Recurring Payables Video (9 mins)
        • A/P: Chapter 6 - Payment Batches Video (11 mins)
        • A/P: Chapter 7 - Manual Payments Video (8 mins)
        • A/P: Chapter 8 - Generating ACH Video (5 mins)
        • A/P: Chapter 9 - Positive Pay Video (4 mins)
        • A/P: Chapter 10 - Vendor History Video (10 mins)
        • A/P: Chapter 11 - A/P General Options Video (7 mins)
        • A/P: Chapter 12 - A/P Entry Options Video (9 mins)
        • A/P: Chapter 13 - Accounts Payable Reporting Video (8 mins)
        • A/P: Chapter 14 - Check Form Alignment (7 mins)
        • Accounts Payable End of Course Assignment
      • Accounts Receivable (1 hour)
        • A/R: Introduction Video (1 min)
        • A/R: Chapter 1 - Customer Records Video (8 mins)
        • A/R: Chapter 2 - Invoice Entry Video (7 mins)
        • A/R: Chapter 3 - Receipt Entry Video (10 mins)
        • A/R: Chapter 4 - Cash Application Video (4 mins)
        • A/R: Chapter 5 - Customer History, Voids & Write-Offs Video (8 mins)
        • A/R: Chapter 6 - Recurring Receivables Video (8 mins)
        • A/R: Chapter 7 - Special Forms (Invoices) & Reporting Video (6 mins)
        • Accounts Receivable End-of-Course Assignment
      • Reporting (2 hours)
        • Reporting Introduction (1 min)
        • Reporting - Chapter 1 - Accessing Reports Video (11 mins)
        • Reporting - Chapter 2 - Report Folders Video (11 mins)
        • Reporting - Chapter 3 - Customizing Reports (Session 1) Video (11 mins)
        • Reporting - Chapter 4 - Customizing Reports (Session 2) Video (11 mins)
        • Reporting - Chapter 5 - Customizing Reports (Session 3) Video (11 mins)
        • Reporting - Chapter 6 - Advanced Reporting Video Tutorial (8 mins)
        • Reporting End of Course Assignment
      • Bank Reconciliation (1 hour)
        • Bank Reconciliation (All Clients) 1 hour
          • Bank Reconciliation: Introduction Video (6 mins)
          • Bank Reconciliation: Chapter 1 - Grid Criteria Video (11 mins)
          • Bank Reconciliation: Chapter 2 - Clearing Transactions Video (10 mins)
          • Bank Reconciliation: Chapter 3 - Adjustments Video (7 mins)
          • Bank Reconciliation: Chapter 4 - Buttons & Settings Video (11 mins)
          • Bank Reconciliation: Chapter 5 - First Bank Reconciliation Video (7 mins)
          • Bank Reconciliation - Chapter 6 - In Closing Video (7 mins)
        • Pulse Bank Reconciliation (Additional for Pulse Clients) 36 mins
          • Pulse Bank Reconciliation: Chapter 1 - Introduction (11 mins)
          • Pulse Bank Reconciliation: Chapter 2 - Importing Clear Dates to Credit Card & ACH Transactions (11 mins)
          • Pulse Bank Reconciliation: Chapter 3 - Deposit References - Cash, Checks & Manual EFT's (9 mins)
          • Pulse Bank Reconciliation: Chapter 4 - In Closing (5 mins)
      • Budgets (2 Hours)
        • Budget & Forecast Setup (1 Hour)
          • Chapter 1 - Budget Introduction Video (7 mins)
          • Chapter 2 - Open Budget Year Video (6 mins)
          • Chapter 3 - Budget Types Video (4 mins)
          • Chapter 4 - Budget Entry Screen Setup Video (8 mins)
          • Chapter 5 - Component Formats (Basic) Video (9 mins)
          • Chapter 6 - Budget Allocations Video (8 mins)
          • Chapter 7 - Global Budget Changes Video (8 mins)
          • Chapter 8 - Budget Reports Video (7 mins)
          • Chapter 9 - Forecast Concepts Video (7 mins)
        • Advanced Budget Configuration (50 mins)
          • Chapter 1 - Component Formats (Advanced) Video (8 mins)
          • Chapter 2 - Component Formats (Settings) Video (8 mins)
          • Chapter 3 - Component Formats (Assignments) Video (8 mins)
          • Chapter 4 - Advanced Budget Allocations (Session 1) Video (10 mins)
          • Chapter 5 - Advanced Budget Allocations (Session 2) Video (10 mins)
          • Chapter 6 - Budget Imports Video (6 mins)
      • Fixed Assets (1 Hour)
        • Chapter 1 - Intro & Object Screen Navigation Video (8 mins)
        • Chapter 2 - Asset Entry Batches Video (6 mins)
        • Chapter 3 - Adding Assets Video (11 mins)
        • Chapter 4 - Accounting Structures Video (11 mins)
        • Chapter 5 - Asset Tasks (Session 1) Video (11 mins)
        • Chapter 6 - Asset Tasks (Session 2) Video (7 mins)
        • Chapter 7 - Reporting & Final Thoughts Video (7 mins)
    • Operations & Branch Staff
      • Introduction to SGA Accounting (8 mins)
      • Reporting - Chapter 1 - Access Reports Video (11 mins)
      • Reporting - Chapter 2 - Report Folders Video (11 mins)
  • Fund Accounting
    • General Ledger
      • General Ledger Overview
      • Accounts
        • Accounts
        • Account Maintenance
        • Account Multiple Add
        • Filter Accounts/Object Ranges
        • Merging Accounts
        • Clone Accounts
        • Global Account Edit
        • Account Transactions
        • Actuals/Budgets - Accounts
        • Balance Forward Entry
        • Import Accounts
        • G/L Cross Reference Formats
        • G/L Cross Reference Accounts
      • Journal Entry
        • Journal Entry
        • Journal Entry Batches
        • Recurring Journal Entries
        • Journal Entry Import Setup
        • How To - Journal Entry Imports
      • Month End
        • Accounting Period Reset
        • Update Monthly Balances
        • Year-End Reset
        • Year-End Procedures
        • Year-End Closing Entries
      • GL Setup
        • Funds
        • Account Divisions
        • Categories
        • Transaction Codes
        • Split Distribution
        • Sources
        • Audit History
        • Split-Screen View
        • General Ledger Options
        • Transaction Code Import
        • Approval Table
      • Links
        • Adding Links
    • Budgeting
      • Budget Setup
        • Forecasting
        • Budget Allocations
        • Budget Allocation Examples
        • Component Formats
        • Budget Types
        • Budget Years
        • Budget Setup for New Year
        • Component Format Assignments
      • Overview
      • Actuals/Budget Entry Screen
        • Actuals/Budgets
        • Actuals/Budgets View
        • Budget Entry
      • Budget Setup - Budget Component Format Examples
      • Actuals/Budget Multi-Account Entry Screen
        • Multi-Account Budget Entry
        • Actuals/Budget Multi-Account Entry Screen
        • Actuals/Budgets Multi-Account View
      • Budget Formulas
      • Budget Components
      • Budget Component Import
      • Global Budget Changes
      • Budget Merit Increase
      • Budget Imports
    • Accounts Payable
      • Accounts Payable Overview
      • Vendors
        • Vendors
        • Vendor Addresses
        • Vendor Summary Transactions
        • Vendor Detail Transactions
        • Vendor Transactions Advanced Filter
        • Merge Vendors
        • Vendor Import Setup
        • Vendor Update Import Setup
      • Daily
        • Invoices
          • A/P Invoice Batch List
          • A/P Invoice
          • Invoice List
          • Post A/P Batch
          • Recurring Payables
          • Tag Invoices for Payment
          • Void Invoice
          • Hold Invoice
          • Payment Cards
          • How To - Importing A/P Invoices
        • Payments
          • Payment Batches
          • Process Payment
          • Print A/P Check Stubs
          • Auto-generate Due to/from Entries
          • Generate ACH File
          • Create Positive Pay
          • Manual Payment
          • Void Payment
          • Create Unused Checks
          • Manual Payment Import
          • External Payments Import
      • AP Setup
        • Master A/P
        • Vendor Types
        • 1099 Codes
        • Checkbooks
        • Check Forms
        • Positive Pay Formats
        • Accounts Payable Options
        • Purchase Order Options
        • Export Permissions
        • EFT File Formats
        • Payables Imports
      • Month End
        • Bank Reconciliation
          • G/L Bank Reconciliation
          • Bank Reconciliation
          • Import Bank Reconciliation
          • Steps for a Bank Reconciliation
          • Steps for a Daily Bank Reconciliation
          • Export the Clear Dates from eCard (or NMI) and Import to SGA
        • 1099 Process
          • 1099 Processing
          • Generate 1099’s
          • 1099 Back of Form
          • Tag 1099 by Vendor
          • 1099 Electronic Filing
          • 1099 Processing for multiple EINs
          • Print 1099 Process
          • Steps to apply for TCC Code to File 1099s Electronically
          • 1099 Processing for first year in SGA Accounting
          • 1099 Electronic Filing – (IRS-FIRE) Step by step instructions to upload a file to the IRS-FIRE website
          • 1099 Electronic Filing – (IRS-IRIS) Step by step instructions to upload a file to the IRS-IRIS website.
    • Accounts Receivable
      • Customers
        • Customers
        • Customer Summary Transactions
        • Customer Detail Transactions
      • Daily
        • A/R Invoice Batch List
        • A/R Invoice Entry
        • A/R Void Invoices
        • A/R Invoice Write-Offs
        • A/R Receipt Batches
        • A/R Receipt Entry
        • A/R Void Receipts
        • A/R Receipt Write-Offs
        • A/R Recurring Receivables
        • A/R Cash Application
        • A/R Cash Un-Application
        • How To - Importing A/R Invoices
        • How To - Importing A/R Receipts
      • AR Setup
        • A/R System Settings
    • Miscellaneous
      • Custom Information
        • Item Categories
        • Items
        • Data Codes
      • Settings
        • General Settings
        • Applications
        • Two Factor Authentication
        • Report From Email Addresses Setup
      • Tools
        • Search Attachments
        • Activity Monitor
        • System Log
      • Edit Batch
      • Delete Batch
      • Sign Control
      • User Preferences
      • Favorites
      • Email Attachment Import
      • Attachment Limit
      • Short Cut Keys
  • Assets / Object Tracking
    • Objects
      • Object Tracking Overview
      • Objects (Main Browse)
      • Object Transactions
      • Setup
        • Object Types
        • Object Divisions
        • Object Import
    • Fixed Assets
      • Asset Management - Overview
      • Assets (Main Browse)
      • Asset Sources
      • Asset Additions
      • Asset Tasks
      • Asset Tasks Mass Disposals
      • Asset Transactions
      • Asset Entry Batches
      • Link to Invoices or Journal Entries
      • General Ledger Activity from Asset Transactions
  • AP Automation
    • Digital Capture
      • Digital Capture Setup
        • Template Page Category
        • Digital Capture Template Wizard
        • Capture Templates
          • Capture Templates
          • Adding Manual Template Pages
          • Adding A.I. Template Pages
          • A.I. Settings
        • Supplemental Information Templates
      • Capture Process
        • Capture System Process
        • Reviewing Process Results
        • Digital Invoice Capture
        • Digital Invoice Capture Batch Review (with temporary invoices)
        • Digital Invoice Capture Batch Review (without temporary invoices)
    • Vendor Portal
      • Vendor Portal Setup
        • Vendor Portal Options
        • Vendor Uploaded Invoices
      • Vendor Portal Process
        • Add New User
        • Vendor Portal Staff Permissions
        • Communication
        • Contact Information
        • 1099 History
        • Email Notification for Vendor Review
        • Vendor Portal Review
    • Centralized AP Inbox
      • Centralized AP Inbox Setup
        • Centralized AP Inbox Options
      • Centralized AP Inbox Process
        • Using the Centralized AP Inbox
  • Document Approval
    • Overall Setup
      • Approval Types
      • Approval Groups
      • Approval Tables
      • Approval Options
    • Purchase Order
      • Purchase Order Setup
        • Purchase Order Received Statuses
        • Purchase Order Preferences
        • PO Setup Options for Document Approval
        • Purchase Order Import Setup
        • Unit Price Codes
      • Purchase Order Entry
      • Purchase Orders for Vendor
      • Purchase Order Close
      • Purchase Order Setup and Rules
      • Purchase Order General (Encumbrance)
      • How To - Purchase Order Import
      • Close All Purchase Orders
      • Purchase Order List
    • Journal Entry
      • JE Setup Options for Document Approval
    • Invoice
      • Invoice Setup Options for Document Approval
    • Payment Batch
      • Payment Batches Setup Options for Document Approval
    • Additional Options
      • Adding Additional Users To An Approval Table
      • Using Reviewers
      • Using the Pending Approvals List
      • Approval Notifications
  • Reporting
    • Customize Report
      • Select Tab
      • General Tab
        • General Tab Options
        • Report Variables
        • Right Click Drilldown
        • Scheduling a Report
      • Rows Tab
      • Columns Tab
        • Columns Tab Options
    • Accessing Reports
    • Report Permissions
    • Report Folder
    • Report Types
    • Lists
    • Report Descriptions
    • Query Variables
    • Data Sources
    • Dashboards
    • Reporting with Custom Totals
  • Users
    • SGA Users
    • SGA Groups
    • Permissions
    • Account/Object Restrictions
    • Approval Group Restrictions
    • Tasks
  • New Features
    • Version 13.5 New Features
    • Version 13.4 New Features
    • Version 13.3 New Features
    • Version 13.2 New Features
    • Version 13.1 New Features
    • Version 13.0 New Features
    • Version 12.8 New Features
    • Version 12.7 New Features
    • Version 12.6 New Features
    • Version 12.5 New Features
    • Version 12.4 New Features
    • Version 12.3 New Features
    • Version 12.2 New Features
    • Version 12.1 New Features
    • Version 12.0 New Features
    • Version 11.8 New Features
  • Bug Fixes
    • Version 13.5 Bug Fixes
    • Version 13.4 Bug Fixes
    • Version 13.3 Bug Fixes
    • Version 13.2 Bug Fixes
    • Version 13.1 Bug Fixes
    • Version 13.0 Bug Fixes
    • Version 12.8 Bug Fixes
    • Version 12.7 Bug Fixes
    • Version 12.6 Bug Fixes
    • Version 12.5 Bug Fixes
    • Version 12.3 Bug Fixes
    • Version 12.2 Bug Fixes
    • Version 12.1 Bug Fixes
    • Version 12.0 Bug Fixes
    • Version 11.8 Bug Fixes
  • Resource Guides
    • Budget
      • Budget Overview
      • Budget Training Documentation (Branch Staff)
      • Setting Up the Budget for a New Year
      • Budget Formats Considerations/Suggestions When Setting up Initial Budget Formats
    • Accounts Payable
      • Accounts Payable Training Guide
      • Walk-through of the New Vendor Approval process
    • Accounts Receivable
      • Accounts Receivable Training Guide
    • Import Setups/Examples
      • Import Setups by Column Number
      • Import Setup by Column Name
    • Steps to Set Up a New User
  • Resource Videos
    • General Ledger
      • G/L Accounts Video Tutorial (9 mins)
      • Merging Accounts Video Tutorial (7 mins)
      • Cross Reference Video Tutorial (7 mins)
      • Year End Close (5 mins)
      • Adding a Segment to the GL (6 mins)
      • Month End - Accounting Period Reset Video Tutorial (6 mins)
    • Budget & Forecast
      • Budget/Forecast Entry Tutorials
        • Actuals/Budget Multi-Account Entry Screen Video Tutorial (8 mins)
        • Budget Components Video Tutorial (27 mins)
        • Forecast Entry Video Tutorial (19 mins)
        • Multi-Account Budget Entry Video Tutorial (18 mins)
      • Budget/Advanced Setup Tutorials
        • Budget Allocations Video Tutorial (27 mins)
        • Budget Component Import Video Tutorial (6 mins)
        • Budget Types Video Tutorial (5 mins)
        • Budget Years Video Tutorial (11 mins)
        • Forecast Setup Video Tutorial (18 mins)
        • Global Budget Changes Video Tutorial (16 mins)
    • Accounts Payable
      • AP Automation
        • AP Automation Video Tutorial (24 mins)
      • Invoices
        • A/P Invoice Video Tutorial (9 mins)
        • Recurring Payables Video Tutorial (9 mins)
        • Transaction Codes Video Tutorial (9 mins)
      • Payments
        • Check Form Alignment Video Tutorial (6 mins)
        • Create Positive Pay Video Tutorial (5 mins)
        • Generating ACH Files Video Tutorial (5 mins)
        • Manual Payment Video Tutorial (5 mins)
        • Payment Batches Video Tutorial (8 mins)
        • Undo a Voided Payment or Voided Invoice Video Tutorial (4 mins)
        • Voiding Payments & Invoices Video Tutorial (7 mins)
        • 2026 NACHA Changes Video Tutorial (7 mins)
      • Vendor Maintenance
        • Vendors Video Tutorial (12 mins)
        • Vendor Summary Transactions Video Tutorial (8 mins)
        • Merge Vendors Video Tutorial (5 mins)
      • 1099's
        • 1099 Process Video Tutorial (7 mins)
        • 1099 Print/Create File Video Tutorial (4 mins)
    • Accounts Receivable
      • Customer Records Video Tutorial (8 mins)
      • A/R Invoice Entry Video Tutorial (7 mins)
      • A/R Receipt Entry Video Tutorial (9 mins)
      • A/R Cash Application Video Tutorial (5 mins)
      • A/R Customer History, Voids & Write Offs Video Tutorial (8 mins)
      • A/R Recurring Receivables Video Tutorial (8 mins)
      • A/R Print Email Invoices & Reports Video Tutorial (6 mins)
    • Reporting
      • Director Reports & Accessing Basic Reports Video Tutorial (17 mins)
      • Report Lists Video Tutorial (10 mins)
    • User Maintenance & Setup
      • User Setup Video Tutorial (17 mins)
    • Journal Entry
      • Cloning Journal Entries Video Tutorial (5 mins)
      • How To - Journal Entry Imports Video Tutorial (4 mins)
      • Journal Entry Video Tutorial (6 mins)
      • Recurring Journal Entries Video Tutorial (6 mins)
    • Approvals
      • Approving and Reviewing Invoices Video Tutorial (10 mins)
      • Purchase Order Entry & Approval Video Tutorial (9 mins)
    • Objects/Fixed Assets
      • Fixed Assets Overview Video Tutorial (18 mins)
    • Bank Reconciliation
      • G/L Bank Reconciliation Video Tutorial (15 mins)
      • Pulse Deposits Video Tutorial (11 mins)
    • Accounting Lunch & Learn Recordings
      • Accounting Lunch & Learn: May 2026 (38 mins)
      • Accounting Lunch & Learn: February 2026 (51 mins)
      • Accounting Lunch & Learn: November 2025
      • Accounting Lunch & Learn: August 2025
      • Accounting Lunch & Learn: May 2025
      • Accounting Lunch & Learn: February 2025
  • Home
  • SGA University

Admin & Accounting Staff

User Setup & Maintenance (1 hour)

General Ledger (2 hours)

Accounts Payable (2 hours)

Accounts Receivable (1 hour)

Reporting (2 hours)

Bank Reconciliation (1 hour)

Budgets (2 Hours)

Fixed Assets (1 Hour)

LoginContact Us Copyright © - Stock, Garber, and Associates, Inc. All rights reserved.