Chapter 3
Chapter 3
Chapter 3
3.6
a. Prepare a context diagram and level 0 DFD to document the payroll processing
system at No-Wear Products.
Employee
Time Card Data
Employee
Operating Paychecks
Documents
Payroll
Processing Management
System Internal
Reports
Human
Resources
Department
Personnel Data
Governmental
Withholding Agencies
Reports
3-1
Ch. 3: Systems Development and Documentation Techniques
3.6 a. (continued.)
Level 0 Data Flow Diagram for the payroll processing system at No-Wear Products.
Time
Operating Human Resources
Card
Departments Department
Data
Personnel
Changes
1.0
Process
2.0
Employee
Update
Timecards
Payroll File
Payroll File
4.0
3.0 Generate
Generate Payroll
Paycheck Reports
Withholding
Internal
Reports
Reports
Pay
check
Employee
Governmental
Management
Agencies
3-2
Accounting Information Systems
3.6 b. Prepare a document flowchart to document the payroll processing system at No-
Wear Products.
No-Wear Products-Payroll
Employees in Functional
Payroll
Department
Time Card
Record
Time
Enter Time Data
Process Payroll
Changes Enter Payroll
Changes
Process Payroll,
Prepare Checks
and Reports N
Paycheck
Employee
Management
Report Management
Federal Tax
Report
3-3
Ch. 3: Systems Development and Documentation Techniques
3.7
a. Prepare a context diagram and a level 0 DFD to document accounts payable
processing at S&S.
Purchasing Receiving
Purchase Order
Receiving Report
Invoice
3-4
Accounting Information Systems
Invoice
Purchase Order
1.0
Record Payable 2.0
Collect & Store Receiving Report
Purchase Orders &
Receiving Reports
Purchase Orders
Accounts
Payable Vendor Invoices Receiving
Reports
Cash
3.0 Disbursements
Make Payment Journal
Accounts Payable
Report 4.0
Prepare Payment &
Management Remittance Advice
Reports
Paid
Management Vendor
Invoices
3-5
Ch. 3: Systems Development and Documentation Techniques
3.7
b. Prepare a document flowchart to document accounts payable processing at S&S.
Receiving Report
A A Record Accounts
Review
Accounts Payable
and Sign
Payable Ledger
Checks
Prepare
Vendor
Checks Check 1
Vendor Invoice Prepare
Monthly
Accounts
Payable
Match Purchase Cash
Order, A Disbursements
Journal To Vendor
Receiving
Accounts Payable
Report,
Report
Invoice
Purchase Order
Receiving Report
Purchase Order Invoice
C D
Receiving Report Check 1
Invoice
Purchase Order
Check 1
Purchase Order
Receiving Report Check 2 C
A
A
Review
D
Accounts
Payable
Report
3-6
Accounting Information Systems
3.8
a. Develop a context diagram and a level 0 DFD of the acquisition/payment system at
Oriental Trading.
Purchase Requisition
Purchase Order
Inventory
Acquisition/
Vendor Acknowledgement System
Vendor Payment
System
Vendor Payment
3-7
Ch. 3: Systems Development and Documentation Techniques
3.8 a. (continued) Level 0 Data Flow Diagram: Acquisition/Payment System at Oriental Trading:
Inventory Vendor
File File
1.0
Prepare
Purchase
Order &
Notification
Purchase Order
Purchase Requisition
Vendor
Acknowledgement Inventory
Vendor
System
P.O. Notification
Vendor
Invoice
Receiving Report
Vendor Invoices
Accounts
Payable
Payment Authorization
Master
File
Check 3.0
Pay Vendor
General
Ledger
3-8
Accounting Information Systems
3.8
b. Prepare a document flowchart to document the acquisition/payment system at
Oriental Trading.
B
From Inventory
From Receiving
A From Vendor
Department
Purchase D Inventory
Requisition File
Purchase Order Payment D
Receiving Report Invoice Authorization
Notification
D D D
Prepare Purchase
Order Prepare Check,
Update Accounts
Enter Purchase Payable and
Requisition Enter payment General Ledger
Authorization
Match Purchase
Order, Receiving
Payment
Purchase Order Vendor Report, and
Authorization
File Invoice. Prepare
Payment
Authorization
To Vendor
Check
From Vendor
Purchase Order
Update Accounts
Enter Vendor Payable Master
Acknowledgment File
D
3-9
Ch. 3: Systems Development and Documentation Techniques
3.9
a. Develop a context diagram and a level 0 DFD for the cash receipts system at S&S.
Bank
Deposit
Payment at
Sale
Credit and
Collections
3-10
Accounting Information Systems
3.9 a. (continued) Level 0 Data Flow Diagram of the Cash Receipts System at S&S:
Remittance
Customers File
Payments at
Sale
Remittances
on
Account
Remittance
Slips 2.0
1.0
Update
Process
Customer
Payments
Accounts
Endorsed
Checks &
Cash, Deposit
Slip
3.0
Accounts
Bank Prepare
Receivable
Reports
Ledger Aged Trial
Balance
Cash
Receipts
Report
Credit and
Management
Collections
3-11
Ch. 3: Systems Development and Documentation Techniques
3.9
b. Prepare a document flowchart to document the cash receipts system at S&S.
From Customer A B
Remittance Slip
B Deposit Slip
Update
Accounts
Accounts
To Bank Receivable
Receivable
Ledger/File
Ledger/File
Endorse
Checks and
Prepare
Deposit Slip for
Cash & Checks
Remittance Slips
Generate
Weekly
Reports
Deposit Slip
Cash Receipts
Aged Trial Balance
Report
To Management
To Credit &
Collections
3-12
Accounting Information Systems
3.16
1. Statements are prepared and sent to customers from data contained in K
the accounts receivable data store.
2. A customer sends a sales invoice to the accounts payable process. D
3. A check is manually prepared from data on a vendor invoice. G
4. The cash receipt process updates the cash receipts data store. H
5. A sales invoice is manually prepared and sent to a customer. I
6. A report is prepared from data stored on magnetic tape. C
7. Billing data are entered online and used to update the sales order file and A
the customer master file.
8. Data from a cancelled invoice are used to update the cash disbursements J
ledger.
9. A sales order is prepared manually. Copy 1 is sent to the warehouse and B
copy 2 is filed.
10. An accounts receivable aging report is prepared from the accounts E
receivable master file and the cash receipts master file, both stored on
disk.
11. An error listing and batch total are compared and filed. F
3-13