Setting up your BAS details.

Setting up your BAS details.

PS Cashbook

Setting up your BAS details

Summary

How do I set up my BAS details?

Detailed Description

Step 1

  • Click on the BAS icon in the toolbar. A screen similar to the following will appear.
  • Work through the Instructions provided on the Instructions tab.
  • Select the correct Bank Accounts and Enterprises to be included in the BAS. 
    You can select multiple Banks or Enterprises by holding down the Ctrl key and left-clicking on each required bank or enterprise. 

Step 2

  • Check the Return Period and then click on the Setup tab.

Step 3

  • Ensure all of the details in the Setup window are correct. 

Step 4

  • GST, PAYG, Other Taxes, and Fuel Tax Credits tabs will be reviewed and/or entered for the return period.
  • The GST Reports tab is where you can print and check GST audit trail listing and summary reports.
  • You will need to click the 'Calc' button to calculate totals before these reports can be printed. 

Step 5 

  • Click on the Print BAS button to view your BAS
  • If yu are ready to finalise you BAS, click on the Finalise Return button
  • Just click on the Close button to exit without finalising your BAS Return.