800.548.6708
 

   
 

home | about us | products | support | resources | training | site map
 

 

    In This Section

  Schedule
  Class Descriptions
  Charlotte Lodging

    Our Solutions

  Donor2
  iMpress 
  Financials/HR
  Request Information

    Fundraising
    Modules

  Alumni
  EFT
  Honor Memorial
  Membership
  Planned Giving
  Postal Import/Export
  Prospect Research
  Scholarship
  Special Events
  Volunteer Tracking
 
 

 

Donor2 Classroom Training

  Current Classroom Schedule
  Click on a class name to view a description of the class.
 
  Donor2 Fundamentals
 
  Donor2 Intermediate
 
  Accounting: System Manager & GL

 

  No classes scheduled at this time
 
  Accounting: AP and Bank Reconcilliation
 
  Accounting: Payroll
 
  Class Descriptions
 
  Donor2 Fundamentals

 

  The three-day class begins with an overview and covers the Donor/Prospect section, campaigns, motives and funds, honor/memorials, receiving, acknowledging and thanking your donors, pledge reminders and statements, giving statements, some basic system administration and some basic reports. Each day includes practice exercises and reviews.
  Return to top
 
  Donor2 Intermediate

 

  The Intermediate training classes will be held on the two days following the Fundamentals classes and provide an opportunity for additional instruction and practice.  Other reports including pledge aging and pledge payment projection will be covered, in addition to more items from the system administration section.  There will be an introduction to snippets, queries, tagging, custom exports and custom report writer.
  Return to top
 
  Accounting: System Manager & GL

 

  The Accounting training will consist of a minimum of two days covering the System Manager and General Ledger. It will start with an overview of the program including navigating in accounting.  Other subjects covered are security, company setup, setup and maintaining the chart of accounts, report generation, creating journal entries and budgets.
  Return to top
 
  Accounting: AP and Bank Reconcilliation

 

  The Accounts Payable training will include invoices, payments to vendors and printing checks.  In addition, we will be covering handwritten checks, voiding checks, recording finance charges and the processing and printing of 1099 information.  Other features covered will be complex transactions, such as prepayments, discounts, credits, system setup and integration with the General Ledger.  Bank Reconciliation allows the recording of disbursements, receipts and bank transfers not recorded in other modules; indicates which receipts, disbursements and transfers have cleared the bank; and then reconciles their entries to the bank statements.
  Return to top
 
  Accounting: Payroll

 

  The Payroll training will cover entering employee records for salaried, hourly and time card employees.  Also included is the processing of computer checks, employee deductions, and the processing of taxes, including Federal and State payroll tax deposits.  Other features covered will be printing W-2’s, EFTPS (Electronic Federal Tax Payment System) of Form 940/941, system setup and integration with the General Ledger.
  Return to top
 
 

Copyright 2005 by Systems Support Services. All Rights Reserved.
5550 77 Center Drive, Suite 160 | Charlotte, NC 28217 | 800.548.6708