Church Windows’ contribution
module lets you track members’ contributions by name or by envelope/giver
number, and you can automatically reassign envelope numbers each year. The financial
module keeps finances organized with double-entry fund accounting and
flexible account structure, and the payroll module easily calculates payroll
whether you have one employee or 50. The scheduler module lets you track
events, building locations, rooms, equipment and services — as well as
leaders, participants and event organizers — with contact information and much
more. As an added bonus, it interfaces with the membership module.
One of the hardest tasks
for a church treasurer is to keep track of special offerings and
donor-restricted contributions. PowerChurch Plus features a unique method for
managing your designated accounts, so you can see the balance in each of your
accounts (complies with GAAP guidelines FASB117) at a glance. Get started by
using the accounting setup assistant to walk you through creating your chart of
accounts and establishing beginning balances.
ShelbyFinancials
features a secure audit trail showing all transactions, corrections and
adjustments; project descriptions, with transactions, for recapping and
reporting; complete reporting tools — no need for extra report writers;
multiple bank accounts in multiple banks; billing statements for
child care and schools; one integrated database, eliminating the need for
duplication; quick checks for reimbursements and pre-payments;
automated banking/checking reconciliation process; ministerial
designations to allow taxable/non-taxable compensation; and totally
integrated system, including accounts payable, payroll, check express, accounts
receivable, fixed assets, registrations, expense amortization, bank
reconciliation and purchase order.
The check-scanning device allows staff and volunteers to quickly record
fee payments and contributions. It even lets you designate how the funds are to
be distributed.
A true
fund-accounting system designed for faith-based nonprofits, ACS Financial Suite
features six integrated modules:
General Ledger centers on flexibility in recordkeeping and recording,
with adherence to non-profit accounting standards.
Payroll accommodates multiple cost centers, so pay is charged to
appropriate areas. Accounts Payable: Centrally process your
outgoing funds, print checks, store vendor information, and keep track of your
invoices. Accounts Receivable: Create unlimited revenue centers,
and connect income to specific accounts.
Purchase Orders automates your cash-flow planning process to help prevent
overspending. Easily cross-check and reference spending. Fixed Assets tracks
specific asset details, from acquisition to depreciation to maintenance.