Accounting system
First Claim
1. A method of producing through a service company an accounting statement suitable for a customer, such as an individual, a small business and the like, the method comprising the steps ofproviding to the customer a pre-established group of standard category codes,entering category codes selected by the customer from the pre-established group into a computer file,entering information identifying a customer account into the computer,determining the cash balance in the customer account from a bank statement for the account,entering into the computer the account balance as shown by the bank statement balance for the account,receiving copies of money transfer instructions including at least one category code selected by the customer,entering into the computer debits made against the account along with category codes selected by the customer,entering into the computer credits made to the account along with category codes selected by the customer,holding in the computer prior computer-generated account balances,generating, from the entries, reports from one or more of three tiers, namely,(a) Income/Expense (cash basis)(b) Accruals(c) Statisticalthe steps of generating said reports including at least:
- adding to the prior computer-generated account balance the amount of credits to the account, and subtracting the amount of debits represented by the money transfer instructions to obtain an updated computer-generated account balance based on the prior account balance,reconciling the computer-generated account balance with the bank statement, andprinting an account statement.
1 Assignment
0 Petitions
Accused Products
Abstract
A system for producing accounting statements. A standard category code listing is developed and entered into a computer data bank. Data are entered from blank statements and check book entries in accordance with the standard category code listing, and accounting statements are printed.
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Citations
5 Claims
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1. A method of producing through a service company an accounting statement suitable for a customer, such as an individual, a small business and the like, the method comprising the steps of
providing to the customer a pre-established group of standard category codes, entering category codes selected by the customer from the pre-established group into a computer file, entering information identifying a customer account into the computer, determining the cash balance in the customer account from a bank statement for the account, entering into the computer the account balance as shown by the bank statement balance for the account, receiving copies of money transfer instructions including at least one category code selected by the customer, entering into the computer debits made against the account along with category codes selected by the customer, entering into the computer credits made to the account along with category codes selected by the customer, holding in the computer prior computer-generated account balances, generating, from the entries, reports from one or more of three tiers, namely, (a) Income/Expense (cash basis) (b) Accruals (c) Statistical the steps of generating said reports including at least: -
adding to the prior computer-generated account balance the amount of credits to the account, and subtracting the amount of debits represented by the money transfer instructions to obtain an updated computer-generated account balance based on the prior account balance, reconciling the computer-generated account balance with the bank statement, and printing an account statement. - View Dependent Claims (2, 3)
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4. A method of conducting for a customer through a service company computerized cash accounting which generates accrual and statistical information and which comprises:
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providing an account through a financial institution, making financial transactions through said account, providing a pre-established group of standard category codes, entering said codes into a computer file, receiving at the financial institution transaction documents which are coded by the customer according to predetermined classification criteria including the standard category codes, providing a computer to receive data and generate reports with respect to said account, entering data into said computer representative of each said transaction, said data including the amount and category of each said transaction, generating from said entered data reports from one or more of three tiers, namely, (a) Income/Expense (cash basis) (b) Accruals (c) Statistical including; generating a financial institution account statement showing deposits to the account, withdrawals from the account, and a closing account balance, and generating an accounting statement based on the coding for the transactions entered into the computer. - View Dependent Claims (5)
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Specification