Setting up of Nominal Cost Elements & Cost Centres.
Setting up of Nominal Accounts with period budgetary
figures.
Facilities
to enter direct nominal postings, such as:
Bank Payments & Receipts
Cash Payments & Receipts
Journal Entries
These
direct postings update the "Audit Trail" as
do sales invoices, receipts etc., and purchase invoices,
payments etc., and other transactions posted via the sales
and purchase ledger.
Sales
transactions from Taurus will automatically activate certain
nominal accounts, e.g: