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The complete Windows-based accounting solution for American
and Canadian travel agencies.
A
highly-featured front/back room accounting system with a fully
integrated AR, AP, PR, GL that automatically updates all
ledgers with invoice entry.
Create itineraries, vouchers, supplier remittances, ARC/BSP
reports, corporate/group summaries. Calculate independent
agent commissions. Email clients and suppliers from within the
program.
Produce invoices and checks in base and foreign currencies.
Network-ready optionally available to link up to 5 work
stations.
Financial statements display previous year, current year, and
future business. Calculates sales per passenger, sales per
invoice, cost per invoice, commissions by supplier class,
sales per passenger.
Tracc for Travel Features:
- Invoicing, Client and
Supplier Services:
- Enter up to six supplier details per invoice. Allows
posting mixed cash-credit card payments directly on invoice
form. Automatically converts from foreign to base currency.
- Simplified entry and editing. Calculates commissions,
agent commissions, discounts and sales tax (GST). Post up to
100 service fees for selection and automatic entry.
- Automatically updates all ledgers and subledgers without
additional posting. Supplier classifications allocate
entries to
ARC/BSP or check register. Supplier payments may be grouped
or processed individually. Over and underpayments are
supported.
- Advise suppliers with remittance notifications via email
- Prepare itineraries for cruise, group travel, car and
hotel rental. Invoices, itineraries, hotel and car rental
vouchers may be prepared and emailed directly to clients and
suppliers. Automatic transfer from voucher to miscellaneous
income register for follow-up on expected commissions.
- Access client preferences directly from the invoice screen
for seat selection, hotel and car rental memberships,
passport number, birth date, miscellaneous notes.
- Communicate with clients via email. Send invoices,
itineraries, promotional information or trip details.
- Print corporate/group travel summaries for any period
showing discounts, sales tax (for refunds), passengers and
destinations .
- Operations,
Administration and Reporting
- Maintains records and accrues commission payables for any
number of independent agents. Invoices may be accumulated
under agents' records or allocated by sales number. Payments
may be made for any period based on invoice or travel dates.
Displays and prints summaries by agent.
- Full payroll function includes required deductions and
benefits with automatic payroll remittance for any period.
Summarizes and displays U.S. Medicare, Social Security,
Withholding and FUTA or Canadian UIC, CPP and taxes for the
periods selected. Prints cheques.
- Networking for up to 5 stations available. Separate
ledgers and journals for each station provide a method of
identifying transactions and business generated. May be
consolidated for any period.
- Automatic summary of sales tax/GST remittance for any
period.
- Miscellaneous income register allows entry of potential
commissions from suppliers for followup. Postings made only
on receipt of payment. Automatic inclusion directly from
voucher register.
- Displays/Prints ARC/BSP cash and credit card transactions
for any period for bank submission.
- Automatically clears small receivables and payables
balances.
- Displays/Prints client listings with YTD travel purchases,
cash or credit card payments detail by invoice.
- Invoice listing and printout includes sales, outstanding
receivables, payments to suppliers, commissions, sales
taxes.
- Invoice aging reports outstanding receivables for
10-20-30, 20-40-60, or 30,60,90 day periods.
- Supplier YTD purchase summaries and outstanding payables
by supplier, items paid and cheques issued.
- Context-sensitive help screens and help tips on each form.
Handy backup function to storage devices.
- Financial Functions,
Statistics and Reports:
- Automatically generates ledger accounts required for
program operation. Provision is made for up to 900 accounts
and sub-accounts.
- Balance sheet and income statement provide current and
previous year's data. The amount of future business is also
included with cash received, receivables, payables, sales
and supplier costs. Income statement displays average sales
per invoice, average expenses per invoice and number of
invoices and cancelled invoices processed.
- Provides general journal and ledger transaction detail.
- Bank deposit summaries and reconciliation. Use of Holding
and Deposit accounts simplify the identification of program
generated transactions and actual deposits/withdrawals.
- Displays/Prints sales, commissions, commission percentage
by supplier classification. Includes average sales per
passenger by class and total.
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