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In this section, we will discuss how to make Jewel work for your church's specific needs. Jewel has many customizable options which you can adjust as needed. All changes can be made from Jewel's Properties screen. You can get to Properties by going to Menu Bar → Maintenance → Properties.
In this section, we will discuss how to customize Jewel for your church's specific needs by adjusting the properties as needed in Maintenance → Properties.


== Church Info ==
== Church Info ==
<!-- church information, entity ID, password, receipt signature file, signature -->
<!-- church information, entity ID, password, receipt signature file, signature -->
Your church name, entity ID, address, and treasurer's name should have been filled out during your initial Set Up. If you need to make any changes, this is where you will update that information. If you have a password set, this is also where you can change your password. Simply click on “Change Password,” and follow instructions for creating a new password.
Your church name, entity ID, address, and treasurer's name should have been filled out during your initial Set Up, but any changes can be recorded here. This is also where you can set or change the password used to access Jewel.  


Notice the area below Church information: Receipt Signature File. This is where you can scan in your signature to be printed out on the receipts. This can save you a lot of time at the end of the year! If you would rather sign your receipts manually, simply leave this area blank. If you would like to scan in your signature, follow these instructions:
The Receipt Signature File you select at the bottom of this window will be printed out on the year-end donation receipts. This can save you a lot of time at the end of the year! If you would rather sign your receipts manually, simply leave this area blank. If you would like to print your signature, follow these instructions:


# Create a bitmap (.bmp) file of your signature. Scan your signature at 300 DPI or at your printer's highest resolution - whichever is higher.
# Create a .bmp or .jpg image of your signature. You can use a scanner, a phone camera, or any other device available to you, but use the highest resolution you can.
# Crop the BMP file to its smallest possible size without clipping out any of your signature.
# Crop the image to its smallest possible size without clipping out any of your signature.
# Save the BMP file in the Jewel directory (C:\Program Files\Jewel.)
# Save the file to your computer, noting the location. The Documents\Jewel folder is a good place to store the file.
# Click the &quot;...&quot; button at the end of the Receipt Signature File box and select your signature file.
# Click the &quot;...&quot; button at the end of the Receipt Signature File box, then find and select your signature file.
# Your signature should now appear in the textbox and will be printed on all contribution receipts.
# Your signature should now appear in the textbox and will be printed on all contribution receipts.


== General ==
== General ==


Back Up Path
===Backup Path===
<!-- back up path, back up, external back up -->
<!-- back up path, back up, external back up -->
At the end of each month, you will create a personal back up of your database. In this text box, you will select the drive for your database to be backed up to. Follow these instructions for creating your month-end external backups:
At the end of each month, you will create a backup of your database. Backups are "insurance" against computer malfunction, damage, or loss, so back up to an external storage like a USB drive (not to your computer's hard drive), and then keep that external storage in a separate location from your computer. Set the path Jewel will use for these backups as follows:


# Go to My Computer (or Computer if using Vista or Windows 7) and under “Devices with Removable Storage,” find what letter the computer has assigned to your flash drive.
# Click Browse, then locate and select your USB drive or other external media.
# Then in Jewel, go to Maintenance, Properties, General Tab and change the letter in the Copy to Disk Path to match the letter the computer assigned. It must be typed in this format: e:\ (letter colon backslash). Click OK to leave Properties.
# Click Make New Folder, rename that folder as Jewel Backups, and click OK to finalize your selection.
# When you click on Backup on the NextStep button or click on File, Copy to Disk the backup should go to the appropriate drive.
# When you click Back Up Data on the NextStep button or click on File -> Create Backup Copy, the backup will go to the selected location.


Options
===Use Deposit Slip===
<!-- options, sort order, show donor address, check numbers, deposit slip, transfers, print setup, printing checks -->
The Deposit Slip allows you to enter the number of coins and bills received in an offering, as well as a list of checks. Jewel then adds up the amount of the cash and checks to calculate the offering total, and provides a printable slip for use when making the deposit at the bank. Leaving the option off means you will enter the offering total directly to Jewel.
This section will likely be one you will be making adjustments to the most. We will describe here what each of the options does and how to change them for your needs. Simply click to check or uncheck options depending on if you need them or not.


''Sort Envelopes by Order Entered:''Check in this box if you wish the Trial Deposit report and the Contribution Report to print out sorted by the order that you entered the envelopes. Leave the box blank to print the envelopes in alphabetical order.
===Allow Transfers Between Conference and Local Accounts===
If this is checked, you can access Conference funds in the Transfer Funds and in the General Journal Entry windows. This is only necessary in exceptional circumstances, since by definition all Conference funds are normally forwarded directly to the Conference. You should not use this feature unless are very sure what you are doing, or you have been instructed to do so by your conference or technical support.


''Always Show Donor Address:''When you enter envelopes, you can have Jewel show the address of the donor. If this box is not checked Jewel will only display an address for donors with the same last names.
===Show "Print Setup" Before Printing===
Unchecked, this feature allows printing without using the &quot;Print Setup&quot; window. Jewel uses the default printer set up in Windows. If you are experiencing printer issues, or wish to use a printer other than the default (such as printing to a file via a pdf printer), check this box.


''Require Check Numbers for Contributions:''The NSF Check # feature of Jewel will not function if check numbers are not entered. However, if you choose NOT to enter each donor's check number, and lose the NSF Check # function, then click to remove the check mark. Check #'s will display on year-end receipts if entered. Having this box checked (using check #s) will require the check number to be entered each time a donation by check is entered in Contribution Entry.
===Print New Checks===
This option controls whether "Print this Check" is automatically selected or not on the Write Checks screen. Click to put a check mark in the box if you normally want to print the checks you enter into the computer. If you do NOT want to automatically print checks, do not check this box. If you are hand writing your checks, you may not want Jewel to print your checks. The "Cancel Print for Unprinted Checks" button is helpful if checks you don't want to print have been left checked.


''Use Deposit Slip:''This option provides use of the Deposit Slip which adds up the amount of the cash and checks and provides a slip for use when making the deposit at the bank.
===Use Date from Previous Check===
Jewel defaults to today's date when starting a new check. If you batch enter already-written checks, you may prefer to default to the date of the last check you wrote.


''Allow Transfers Between Conference and Local Accounts:''If this is checked, you can use Conference funds in the Transfer Funds window. This is only necessary in exceptional circumstances, since by definition all Conference funds are normally forwarded directly to the Conference. Any changes to Conference funds made in Transfer Funds will not be reflected on the donor's receipt. It is important to turn this feature off when you are done using it to prevent an accidental transfer of Conference funds.
===Using Pre-Printed Checks===
Check this box if you are printing your checks on Jewel but the checks are preprinted with the bank name, check number, "Pay to the Order of", etc. If you are using the (much cheaper) plain check paper available at any office supply, do not check this option.


''Show &quot;Print Setup&quot; Before Printing:''Unchecked, this feature allows printing without using the &quot;Print Setup&quot; window. Jewel uses the default printer set up in Windows.
===Print Memo on Check===
Use this option to utilize the check's memo feature on the bottom left hand corner of the check itself, or to turn it off. Either way, the memo will still print on the check stub for your records.


''Print New Checks:''Click to put a check mark in the box if you normally want to print the checks you enter into the computer. If you do NOT want to print the checks, do not check this box. If you are hand writing your checks, you may not want Jewel to print your checks.
===Allow Checks Dated in Next Month===
If you wish to enter checks in next month before closing the current month, check this box.  


''Using Pre-Printed Checks:''Check this box if you are printing your checks on Jewel but the checks are preprinted with the bank name, check number, &quot;Pay to the Order of:&quot; etc.
===Sort Envelopes by Order Entered===
Check in this box if you wish the Trial Deposit report and the Contribution Report to print out sorted by the order that you entered the envelopes. Leave the box blank to print the envelopes in alphabetical order.


''Print Memo on Check:''Use this option to utilize the checks memo feature on the bottom left hand corner of the check or to turn it off. Either way, the memo will still print on the check stub for your records.
===Always Show Donor Address===
When you enter envelopes, you can have Jewel show the address of the donor. If this box is not checked Jewel will only display an address for donors with the same last names.


Fiscal Year and Closing Dates
===Require Check Numbers for Contributions===
Requiring check numbers for contributions makes it easier to search for NSF checks (checks returned for insufficient funds) and provides better records to donors on their year-end receipts. Having this box checked (using check #s) will require the check number to be entered each time a donation by check is entered in Contribution Entry.
 
===Show Donor's Previous Contributions===
Selecting this option overrides the selection in Default Order for Contributions on the Properties -> Accounts tab. Instead of your chosen default contributions, Jewel will pre-fill the Contribution Entry accounts with the accounts the donor has previously donated to. Deselecting this option makes Jewel use the Default Order for Contributions.
 
===Fiscal Year and Closing Dates===
<!-- closing dates, fiscal year, zero accounts -->
<!-- closing dates, fiscal year, zero accounts -->
Use the drop-down menu to select the month which starts your church's fiscal year. The fiscal year is the 12-month period (cycle) your church uses for the church budget. This has no effect on the calendar year and Donor receipts, which will always print out in January.
Use the drop-down menu to select the month which starts your church's fiscal year. The fiscal year is the 12-month period (cycle) your church uses for the church budget. This has no effect on the calendar year and Donor receipts, which will always print out in January.


Click on the Close ......Fiscal Year button to do the annual closing manually. If this button is not on your screen, it is because it is not now time to be performing an annual closing (as set in Maintenance, Properties, General Tab.)
Click on the Close 20xx Fiscal Year button to do the annual closing manually. If this button is not on your screen, it is because it is not now time to be performing an annual closing.
 
Here, you can also choose the method you will use to zero out your sub accounts at year-end. Churches on the Combined Budget system usually use "Budget Sub Accounts Only," others zero out "All Sub Accounts", and some prefer to choose "No Sub Accounts" and do the process manually.
 
• All Sub Accounts. Every sub account will be closed into its parent account. If there is a sub account that should not be set to zero, go to Maintenance -> Edit Accounts and [[Edit Accounts|edit the account]] to remove the check in the sub account box before printing the annual reports. After the Annual closing, the account may once again be marked as a sub account.


Here, you can also choose the method you will use to zero out your sub accounts at year-end. Churches on the Combined Budget system usually use &quot;Budget Sub Accounts Only,&quot; others zero out &quot;All Sub Accounts.&quot;
• Budget Sub Accounts. Only sub accounts listed in the budget will be closed into their parent accounts. Budget accounts are listed in Maintenance -> Edit Budget Allocations.
 
• No Sub Accounts. Every sub account will carry its balance over to the new fiscal year. You will need to close out desired sub accounts manually via [[The Basic Jewel Processes#Transfer Funds|Transfer Funds]] before doing the last Monthly Closing of the year.


== Internet ==
== Internet ==
<!-- internet properties, send reports online, send reports electronically, send to conference server, conference server address, ACH funds transfer -->
<!-- internet properties, send reports online, send reports electronically, send to conference server, conference server address, ACH funds transfer -->
The Internet properties allow you to send your database, month-end reports, and remittance reports to your Conference electronically. Note: To use the Internet features, you MUST have an Internet connection (Internet Service Provider). If you are on the web, you have what you need!
The Internet properties allow you to send your database backups and remittance reports to your Conference electronically. Click to place a check mark in the boxes for “Send Month-End Backup to Conference Server” and/or “Send Remittance Report to Conference Server” if you would like to send these things electronically.  


Send …. to Conference Server
Sending the month-end backup ensures that your database will never be lost, even if something should happen to both your computer and external backup.


Click to place a check mark in the boxes for “Send Month-End Reports to Conference Server” and/or “Send Remittance Report to Conference Server” if you would like to send your reports electronically. These reports will NOT be sent to the conference at the end of each month unless you have these options checked.
Sending the remittance report is a big help to your conference, as they receive your report automatically, already in electronic form. They don't have to type anything in. If you have set up ACH remittance withdrawals with your conference, this report tells them how much to withdraw. If you have not set up ACH, the report tells the conference how much to expect from your church and how it should be distributed among the different conference funds.
 
Conference Server Address
 
This is the name of the Internet server that receives your backups and reports. You won't need to change this unless you are specifically asked to by your conference tech support.


ACH Funds Transfer
ACH Funds Transfer


Check this box to permit the Conference to withdraw funds from your bank account instead of writing a check for your Conference Remittance. If the box is not checked, you will need to print your remittance check and mail it each month. However, if your Conference office is using Jewel, they have the ability to receive your remittance check electronically. If this is the case, they will give you instructions on how to set it up.
If you are interested in using ACH, contact your conference to find out how to get that set up.  
 
''NOTE:''If you are interested in using ACH, contact your conference to find out if they are working on it, and let them know it would be a benefit to you!
 
Reports/Auditor
 
This information directs the monthly reports to the correct site for the Conference. Do NOT make any changes here unless directed by your auditor or tech support.


== Accounts ==
== Accounts ==
Line 79: Line 89:
Under the Accounts tab, you can select Default Bank Accounts for deposit and checking, where to remit Conference funds to, and the order you wish accounts to appear in when doing Contribution Entry. If you are outside the USA, you can also choose currency type here.
Under the Accounts tab, you can select Default Bank Accounts for deposit and checking, where to remit Conference funds to, and the order you wish accounts to appear in when doing Contribution Entry. If you are outside the USA, you can also choose currency type here.


Banking Information
===Banking Information===
====Default Deposit Account====
Click the down arrow and select the bank account where contributions will be DEPOSITED. This will generally be your main Checking Account. If you have not yet added a checking account, and need to make a new one, click the (+) sign to be taken to Edit Accounts. You can add a new account, and then return to properties to select that account.


''Default Deposit Account:''Click the down arrow and select the bank account where contributions will be DEPOSITED. This will generally be your main Checking Account. If you have not yet added a checking account, and need to make a new one, click the (+) sign to be taken to Edit Accounts. You can add a new account, and then return to properties to select that account.
====Default Checking Account====
Click the down arrow and select the bank account where Checks will be written from. (This is usually the same as the Deposit Account.)


''Default Checking Account:''Click the down arrow and select the bank account where Checks will be written from. (This is usually the same as the Deposit Account.)
====Default Remittance Account====
Click the down arrow and select the bank account where Remittance Checks will be written from. (This is usually the same as the Deposit and Checking Account.)


''Remit To:''Click the down arrow and select your local Conference for checks to be remitted to each month.
====Remit To====
Click the down arrow and select your local Conference for checks to be remitted to each month.


Currency
===Currency===


Type in the currency you use (Dollars, Pounds etc). The only place the currency symbol is used in Jewel is for Checks. The Symbol is set by Windows under Start → Control Panel → Regional Settings.
Type in the word for the currency you use (Dollars, Pounds etc). The only place the currency type is used in Jewel is for Checks. The Currency Symbol is set by Windows.


Default Account Order for Contributions
===Account IDs===
Many conferences have adopted standard 5-digit account IDs for conference funds, and have suggested that churches use 4-digit account IDs for their local funds. Conforming to this standard makes importing from AdventistGiving easier, eases identification of conference funds, and differentiates more easily between conference and local funds.


This section allows you to adapt Contribution Entry to your own personal needs to make the weekly entries faster and easier to use. The set of fields you see here is exactly what Contribution Entry will look like when entering envelopes. Jewel has a preset order that the accounts will appear in, as you enter envelopes. Usually Tithe is first, followed by Combined Budget, etc. You may re-arrange or add to this list according to your needs. Contribution Entry will bring up accounts in the order they are listed here. Do not attempt to list all accounts in this list – only enter the most frequently used accounts. All others will be available in alphabetical and numerical order. After using Contribution Entry for a few weeks, you may wish to come back here and make further changes.
===Default Account Order for Contributions===
 
This section allows you to adapt Contribution Entry to your own personal needs to make the weekly entries faster and easier. The set of fields you see here is exactly what Contribution Entry will look like, the preset order that the accounts will appear in as you enter envelopes. Usually Tithe is first, followed by Combined Budget, etc. You may re-arrange or add to this list according to your needs. Do not attempt to add all accounts in this list – only enter the most frequently used accounts. You will be able to select the less-frequently-used accounts as needed.


How to adjust account order:
How to adjust account order:
Line 101: Line 119:
To insert an account in the middle of the list, select the account you want the new account ABOVE. Click insert, and a new field will be entered above the selected account.
To insert an account in the middle of the list, select the account you want the new account ABOVE. Click insert, and a new field will be entered above the selected account.


To edit previously entered accounts, simply select the account and click the down arrow to choose a new account, or click the (+) sign to edit the current account.
To edit previously entered accounts, simply select the account and type the new account name or ID, click the down arrow to choose a new account, or click the (+) sign to edit the current account.


To delete an account, select the account you want deleted, and click Delete.
To delete an account, select the account you want deleted, and click Delete.


NOTE: The Insert and Delete buttons are changing the account order - it will not delete the account from Jewel.
NOTE: The [[#Show Donor's Previous Contributions|"Show Donor's Previous Contributions"]] option on the General tab overrides the selections here.


== Reports ==
== Reports ==
<!-- reports, automatic reports, copies to print, print reports -->
<!-- reports, automatic reports, copies to print, print reports -->
In the accounting process you will be printing periodic reports, monthly, year-end, etc. This tab lets you choose when these report periods happen, and which reports to print. This is also where you can make printer adjustments if your printer does not place the print in the correct position on the paper.


Most churches use the reports as already listed. You may wish to leave these settings as they are. Check with your auditor and your church board to find out what reports are required for each time period. These report settings can be changed at any time. Any report can be printed at any time without being in this list by going to Reports and Graphs, finding the appropriate report, and clicking the Print button. If a report is in one of these lists, Jewel will require it to be printed before going on to other procedures. So, if you do not want a report every time, do NOT put it in this list.
===Select Automatic Reports===
In the accounting process you will be printing periodic reports. This tab lets you choose which reports and how many copies to print for each period. Most churches print only the default reports. But your auditor or your church board may wish to see other reports.


Select Automatic Reports
The reports selected here must be printed before Jewel will allow you finish the period indicated. So if you only want a given report some of the time, print it via Reports & Graphs when you want it, instead of adding it to this list.


Choose the report period you would like to change by clicking on the down arrow and selecting the appropriate time period. Your options are: Offering Reports, Monthly Reports, Quarterly Reports, Fiscal Year Reports, and Calendar Year Reports. Most churches will only have Monthly, Fiscal, and Calendar Year-End reports.
To view which reports are selected, or to edit the reports selected, click the down arrow and choose a time period.  


To add or delete a particular report, use the Add or Delete buttons.
To add or delete a particular report, use the Add or Delete buttons and follow the on-screen prompts. Note that for period-end reports, "Last period" means the one you are just finishing.


Add
Click the up or down arrows to increase or decrease the number of copies to print of the selected Report Type. Checking the All Reports button applies the current Copies to Print to all reports in that period.


# Click on Add to add a report to the Time Period showing.
===Report and Check Calibration===
# Choose a Report type by clicking the down arrow and selecting the type of report desired.
If reports or checks are printing in the wrong location on the paper, you can adjust the alignment here. You may need to calibrate each time you change printers; therefore, it is neither necessary nor recommended to use more than one printer for Jewel. The most critical adjustments are needed for the printing of checks. Reports will usually print alright if the checks are adjusted correctly.
# Choose a Time Period by clicking the down arrow and select the appropriate time period.
# Click up or down arrows to determine the number of copies to print.
# Click OK to accept your changes, or Cancel to NOT accept changes.


Delete
If you're having trouble with alignment, print a check on a regular check blank. If the print needs to be moved on the paper, choose a direction and amount using the code on the screen.


# Select the report you would like to be deleted and click on Delete.
Click the Print Calibration Page button to print a test pattern. It will help you determine the need of further adjustments. Repeat this process until the print is properly located.
# In the message box, click Yes to delete the report or No to not remove the report from the list.


Copies to Print
===Report Options===
Show Account ID on Financial Summary means that the ID number will be shown to the left of each account name on the Financial Summary report.


Click the up or down arrows to increase or decrease the number of copies to print of the selected Report Type.
Show Subtotals on Financial Summary Detail - when this option is unchecked, the Financial Summary Detail report shows the balance of each sub account plus the amount of money directly attributed to the parent account. Checking this option adds a line for the total amount in the parent and sub accounts. This total amount is the same amount shown for the parent account in the Summary version of the Financial Summary report.


Report and Check Calibration
Max Amount for Non-itemized Contributions - this option is no longer relevant.
<!-- report calibration, check calibration, printing, print calibration, adjust alignment -->
When printing reports, you may find that your printer did not place the print in the correct position on the paper. Printer adjustments are made by nudging the print area left or right, up or down on your paper. This adjustment is especially important if checks are printed from Jewel. You may need to calibrate each time you change printers. Therefore, it is neither necessary nor recommended to use more than one printer for Jewel. The most critical adjustments are needed for the printing of checks. Reports will usually print OK if the checks are adjusted correctly.


''How to Adjust Alignment''
===Print Jobs===
 
Lower the number of pages to print at a time in a print job if you are receiving "out of memory error" while printing. All your work will still be printed-the computer will just send fewer pages at a time to the printer.
Print a check on a regular check blank. If the print needs to be moved on the form then follow the procedures below. When choosing a value for nudging the print, follow these length guidelines: 1/16 inch = 90; 1/8 inch = 180; ¼ inch = 360
 
CAUTION: Be careful about the placing of paper in the printer. Be sure the tray is holding it firmly. If the sides are not snug, the paper will print differently from sheet to sheet or even turn slightly as it goes through. Be particularly cautious of sheet feeders. Keep the side guides snug against the paper, and the paper all the way in before printing.
 
''Horizontal Nudge:''Click on the Left or Right selection buttons to indicate the direction you need the print to move on the paper. Type a value to nudge the print.
 
''Vertical Nudge:''Click on the Up or Down selection buttons to indicate the direction you need the print to move on the paper. Type a value to nudge the print.
 
''Print Calibration:''Click the Print Calibration Page button to print a test pattern. It will help you determine the need of further adjustments. Repeat this process until the print is properly located.
 
''Pages per Print Job:''Lower the number of pages to print at a time in a print job if you are receiving &quot;out of memory error&quot; while printing. All your work will still be printed-the computer will just send fewer pages at a time to the printer.


== Report Format ==
== Report Format ==
<!-- report format, customize reports, orientation, margins, fonts -->
<!-- report format, customize reports, orientation, margins, fonts -->
Printed reports can be customized to your needs. Each individual report can be adjusted to how you need it to look. Here, you can change paper orientation, margins, fonts, font size and column width for each printed report.
Printed reports can be customized to your needs. Each individual report can be adjusted to how you need it to look. Here, you can change paper orientation, margins, fonts, font size and column width for each printed report.
''How to Adjust Report Formats''


<ul>
<ul>
<li>Start by choosing the report you wish to adjust, and then click to place a check mark by Edit.</li>
<li>Start by choosing the report you wish to adjust, and then click to place a check mark by Edit.</li>
<li>Font Name:
<li>Font Name:
Choose the desired font. The list you see here is of the fonts installed on your computer.</li>
Choose the desired font. The list you see here is the fonts installed in Windows.</li>
<li>Font Size:
<li>Font Size:
Select a font size - remember, the larger the number, the larger the size and the more space it will use on the page, requiring wider columns.</li>
Select a font size - remember, the larger the number, the larger the size and the more space it will use on the page, requiring wider columns.</li>
Line 169: Line 169:
Click the Portrait button to print a vertical report or the Landscape button to print a horizontal report.</li>
Click the Portrait button to print a vertical report or the Landscape button to print a horizontal report.</li>
<li>Column Widths:
<li>Column Widths:
Key in the number of centimeters to use for the width of each column.</li>
Key in a number to use for the width of each column, where 360=1/4" and 1440=1"</li>
<li>Margins:
<li>Margins:
Type the desired width of each margin (distance from the edge of the paper.) The numbers are in centimeters. Depending on your printer, there may be various unprintable areas. Be sure to print a test report to ensure all of the report is printed.</li>
Type the desired width of each margin (distance from the edge of the paper.) Depending on your printer, there may be various unprintable areas. Be sure to print a test report to ensure all of the report is printed. As above, 360=1/4" and 1440=1"</li>
<li>Print Test Reports:
<li>Print Test Reports:
Click Print Test Reports to print a test report to see how your changes look. If you are not satisfied with the results, continue to adjust the settings again and try another test print.</li></ul>
Click Print Test Reports to print a test report to see how your changes look. If you are not satisfied with the results, continue to adjust the settings again and try another test print.</li></ul>
<br><br>
-----
[[Maintaining and Customizing Jewel|Return to Chapter 9: Maintaining and Customizing Jewel]]
[[Edit Accounts|Return to section: Edit Accounts]]
[[Cleaning Up the Bank Rec|Continue to next section: Cleaning Up the Bank Rec]]

Latest revision as of 16:45, 11 November 2025

In this section, we will discuss how to customize Jewel for your church's specific needs by adjusting the properties as needed in Maintenance → Properties.

Church Info

Your church name, entity ID, address, and treasurer's name should have been filled out during your initial Set Up, but any changes can be recorded here. This is also where you can set or change the password used to access Jewel.

The Receipt Signature File you select at the bottom of this window will be printed out on the year-end donation receipts. This can save you a lot of time at the end of the year! If you would rather sign your receipts manually, simply leave this area blank. If you would like to print your signature, follow these instructions:

  1. Create a .bmp or .jpg image of your signature. You can use a scanner, a phone camera, or any other device available to you, but use the highest resolution you can.
  2. Crop the image to its smallest possible size without clipping out any of your signature.
  3. Save the file to your computer, noting the location. The Documents\Jewel folder is a good place to store the file.
  4. Click the "..." button at the end of the Receipt Signature File box, then find and select your signature file.
  5. Your signature should now appear in the textbox and will be printed on all contribution receipts.

General

Backup Path

At the end of each month, you will create a backup of your database. Backups are "insurance" against computer malfunction, damage, or loss, so back up to an external storage like a USB drive (not to your computer's hard drive), and then keep that external storage in a separate location from your computer. Set the path Jewel will use for these backups as follows:

  1. Click Browse, then locate and select your USB drive or other external media.
  2. Click Make New Folder, rename that folder as Jewel Backups, and click OK to finalize your selection.
  3. When you click Back Up Data on the NextStep button or click on File -> Create Backup Copy, the backup will go to the selected location.

Use Deposit Slip

The Deposit Slip allows you to enter the number of coins and bills received in an offering, as well as a list of checks. Jewel then adds up the amount of the cash and checks to calculate the offering total, and provides a printable slip for use when making the deposit at the bank. Leaving the option off means you will enter the offering total directly to Jewel.

Allow Transfers Between Conference and Local Accounts

If this is checked, you can access Conference funds in the Transfer Funds and in the General Journal Entry windows. This is only necessary in exceptional circumstances, since by definition all Conference funds are normally forwarded directly to the Conference. You should not use this feature unless are very sure what you are doing, or you have been instructed to do so by your conference or technical support.

Show "Print Setup" Before Printing

Unchecked, this feature allows printing without using the "Print Setup" window. Jewel uses the default printer set up in Windows. If you are experiencing printer issues, or wish to use a printer other than the default (such as printing to a file via a pdf printer), check this box.

Print New Checks

This option controls whether "Print this Check" is automatically selected or not on the Write Checks screen. Click to put a check mark in the box if you normally want to print the checks you enter into the computer. If you do NOT want to automatically print checks, do not check this box. If you are hand writing your checks, you may not want Jewel to print your checks. The "Cancel Print for Unprinted Checks" button is helpful if checks you don't want to print have been left checked.

Use Date from Previous Check

Jewel defaults to today's date when starting a new check. If you batch enter already-written checks, you may prefer to default to the date of the last check you wrote.

Using Pre-Printed Checks

Check this box if you are printing your checks on Jewel but the checks are preprinted with the bank name, check number, "Pay to the Order of", etc. If you are using the (much cheaper) plain check paper available at any office supply, do not check this option.

Print Memo on Check

Use this option to utilize the check's memo feature on the bottom left hand corner of the check itself, or to turn it off. Either way, the memo will still print on the check stub for your records.

Allow Checks Dated in Next Month

If you wish to enter checks in next month before closing the current month, check this box.

Sort Envelopes by Order Entered

Check in this box if you wish the Trial Deposit report and the Contribution Report to print out sorted by the order that you entered the envelopes. Leave the box blank to print the envelopes in alphabetical order.

Always Show Donor Address

When you enter envelopes, you can have Jewel show the address of the donor. If this box is not checked Jewel will only display an address for donors with the same last names.

Require Check Numbers for Contributions

Requiring check numbers for contributions makes it easier to search for NSF checks (checks returned for insufficient funds) and provides better records to donors on their year-end receipts. Having this box checked (using check #s) will require the check number to be entered each time a donation by check is entered in Contribution Entry.

Show Donor's Previous Contributions

Selecting this option overrides the selection in Default Order for Contributions on the Properties -> Accounts tab. Instead of your chosen default contributions, Jewel will pre-fill the Contribution Entry accounts with the accounts the donor has previously donated to. Deselecting this option makes Jewel use the Default Order for Contributions.

Fiscal Year and Closing Dates

Use the drop-down menu to select the month which starts your church's fiscal year. The fiscal year is the 12-month period (cycle) your church uses for the church budget. This has no effect on the calendar year and Donor receipts, which will always print out in January.

Click on the Close 20xx Fiscal Year button to do the annual closing manually. If this button is not on your screen, it is because it is not now time to be performing an annual closing.

Here, you can also choose the method you will use to zero out your sub accounts at year-end. Churches on the Combined Budget system usually use "Budget Sub Accounts Only," others zero out "All Sub Accounts", and some prefer to choose "No Sub Accounts" and do the process manually.

• All Sub Accounts. Every sub account will be closed into its parent account. If there is a sub account that should not be set to zero, go to Maintenance -> Edit Accounts and edit the account to remove the check in the sub account box before printing the annual reports. After the Annual closing, the account may once again be marked as a sub account.

• Budget Sub Accounts. Only sub accounts listed in the budget will be closed into their parent accounts. Budget accounts are listed in Maintenance -> Edit Budget Allocations.

• No Sub Accounts. Every sub account will carry its balance over to the new fiscal year. You will need to close out desired sub accounts manually via Transfer Funds before doing the last Monthly Closing of the year.

Internet

The Internet properties allow you to send your database backups and remittance reports to your Conference electronically. Click to place a check mark in the boxes for “Send Month-End Backup to Conference Server” and/or “Send Remittance Report to Conference Server” if you would like to send these things electronically.

Sending the month-end backup ensures that your database will never be lost, even if something should happen to both your computer and external backup.

Sending the remittance report is a big help to your conference, as they receive your report automatically, already in electronic form. They don't have to type anything in. If you have set up ACH remittance withdrawals with your conference, this report tells them how much to withdraw. If you have not set up ACH, the report tells the conference how much to expect from your church and how it should be distributed among the different conference funds.

ACH Funds Transfer

If you are interested in using ACH, contact your conference to find out how to get that set up.

Accounts

Under the Accounts tab, you can select Default Bank Accounts for deposit and checking, where to remit Conference funds to, and the order you wish accounts to appear in when doing Contribution Entry. If you are outside the USA, you can also choose currency type here.

Banking Information

Default Deposit Account

Click the down arrow and select the bank account where contributions will be DEPOSITED. This will generally be your main Checking Account. If you have not yet added a checking account, and need to make a new one, click the (+) sign to be taken to Edit Accounts. You can add a new account, and then return to properties to select that account.

Default Checking Account

Click the down arrow and select the bank account where Checks will be written from. (This is usually the same as the Deposit Account.)

Default Remittance Account

Click the down arrow and select the bank account where Remittance Checks will be written from. (This is usually the same as the Deposit and Checking Account.)

Remit To

Click the down arrow and select your local Conference for checks to be remitted to each month.

Currency

Type in the word for the currency you use (Dollars, Pounds etc). The only place the currency type is used in Jewel is for Checks. The Currency Symbol is set by Windows.

Account IDs

Many conferences have adopted standard 5-digit account IDs for conference funds, and have suggested that churches use 4-digit account IDs for their local funds. Conforming to this standard makes importing from AdventistGiving easier, eases identification of conference funds, and differentiates more easily between conference and local funds.

Default Account Order for Contributions

This section allows you to adapt Contribution Entry to your own personal needs to make the weekly entries faster and easier. The set of fields you see here is exactly what Contribution Entry will look like, the preset order that the accounts will appear in as you enter envelopes. Usually Tithe is first, followed by Combined Budget, etc. You may re-arrange or add to this list according to your needs. Do not attempt to add all accounts in this list – only enter the most frequently used accounts. You will be able to select the less-frequently-used accounts as needed.

How to adjust account order:

To add to the end of the default account list, select the last account and press Enter until you have the number of account fields you need. Click the down arrow to select the appropriate accounts in the desired order.

To insert an account in the middle of the list, select the account you want the new account ABOVE. Click insert, and a new field will be entered above the selected account.

To edit previously entered accounts, simply select the account and type the new account name or ID, click the down arrow to choose a new account, or click the (+) sign to edit the current account.

To delete an account, select the account you want deleted, and click Delete.

NOTE: The "Show Donor's Previous Contributions" option on the General tab overrides the selections here.

Reports

Select Automatic Reports

In the accounting process you will be printing periodic reports. This tab lets you choose which reports and how many copies to print for each period. Most churches print only the default reports. But your auditor or your church board may wish to see other reports.

The reports selected here must be printed before Jewel will allow you finish the period indicated. So if you only want a given report some of the time, print it via Reports & Graphs when you want it, instead of adding it to this list.

To view which reports are selected, or to edit the reports selected, click the down arrow and choose a time period.

To add or delete a particular report, use the Add or Delete buttons and follow the on-screen prompts. Note that for period-end reports, "Last period" means the one you are just finishing.

Click the up or down arrows to increase or decrease the number of copies to print of the selected Report Type. Checking the All Reports button applies the current Copies to Print to all reports in that period.

Report and Check Calibration

If reports or checks are printing in the wrong location on the paper, you can adjust the alignment here. You may need to calibrate each time you change printers; therefore, it is neither necessary nor recommended to use more than one printer for Jewel. The most critical adjustments are needed for the printing of checks. Reports will usually print alright if the checks are adjusted correctly.

If you're having trouble with alignment, print a check on a regular check blank. If the print needs to be moved on the paper, choose a direction and amount using the code on the screen.

Click the Print Calibration Page button to print a test pattern. It will help you determine the need of further adjustments. Repeat this process until the print is properly located.

Report Options

Show Account ID on Financial Summary means that the ID number will be shown to the left of each account name on the Financial Summary report.

Show Subtotals on Financial Summary Detail - when this option is unchecked, the Financial Summary Detail report shows the balance of each sub account plus the amount of money directly attributed to the parent account. Checking this option adds a line for the total amount in the parent and sub accounts. This total amount is the same amount shown for the parent account in the Summary version of the Financial Summary report.

Max Amount for Non-itemized Contributions - this option is no longer relevant.

Print Jobs

Lower the number of pages to print at a time in a print job if you are receiving "out of memory error" while printing. All your work will still be printed-the computer will just send fewer pages at a time to the printer.

Report Format

Printed reports can be customized to your needs. Each individual report can be adjusted to how you need it to look. Here, you can change paper orientation, margins, fonts, font size and column width for each printed report.

  • Start by choosing the report you wish to adjust, and then click to place a check mark by Edit.
  • Font Name: Choose the desired font. The list you see here is the fonts installed in Windows.
  • Font Size: Select a font size - remember, the larger the number, the larger the size and the more space it will use on the page, requiring wider columns.
  • Orientation: Click the Portrait button to print a vertical report or the Landscape button to print a horizontal report.
  • Column Widths: Key in a number to use for the width of each column, where 360=1/4" and 1440=1"
  • Margins: Type the desired width of each margin (distance from the edge of the paper.) Depending on your printer, there may be various unprintable areas. Be sure to print a test report to ensure all of the report is printed. As above, 360=1/4" and 1440=1"
  • Print Test Reports: Click Print Test Reports to print a test report to see how your changes look. If you are not satisfied with the results, continue to adjust the settings again and try another test print.




Return to Chapter 9: Maintaining and Customizing Jewel

Return to section: Edit Accounts

Continue to next section: Cleaning Up the Bank Rec