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This
Page is dedicated to things to know to effectively use IconCMO?
Membership
Must Know #1: (Household or Member)
Understanding the difference between a Household and a Member
is important and is defined as follows:
Definition of a Household: A Household is a physical location
where people reside and the name of the household represents
the adults that are responsible for the loaction. It does
not represent an individual.
Definition of a Member: A Member is a person that resides
at the location. Every member of a family should have a
member record in the system.
Whenever you are doing something in the system ask yourself
the question: Do I need this for member(s) or household(s).
Example: I need to create mailing labels for people that receive
the newsletter. Are these labels going to be sent to individual
members or to the households? Chances are they are going
to be sent to the Households. If this is the answer than you
would go to People -> Groups -> Grp-Households. Create
a category called Mailings and a sub-group called Newsletter.
Add the households to the group and print your labels. Or
you can go to People -> Households -> Hse-Reports ->
Household List and select to print labels for all Households
belonging to one or more status groups.
If you are adding a new Person in the system that is the
only member of the new household, one household record would
be added refelecting the location and one member record representing
the individual living at that location.
For a married couple the household name should contain both
the names of the parents. The household 'First Name' would
be something like John & Mary. Once the household is created
both John, Mary and any kids they might have would be added
into the household as members.
Must Know #2 (Relationship)
Relationship: Be sure to fill this in correctly as it will
affect the Church Directory. Members marked as Husband, Wife,
Father, Mother, Single Male, Single Female, Divorced, Widow,
Widower will not appear as a child of the household. All other
relationships will.
Must Know #3 (Running Reports using Multiple
Status Codes)
Many of the reports give you the ability to select status
codes. Multilple status codes can be selected by holding the
"Ctrl" key down on the keyboard. While the Ctrl
key is down use the mouse to click on the status codes you
wish to use. When done selecting release the Ctrl key and
run the report.
Must Know #4 (Adding Status Codes)
Status codes are used to define the relationship of a household
or member to the church. When the system is initially loaded
it contains the default status codes Active, Inactive, Visitor
and Delete. However, you can add additional status codes by
going to Organization -> Preferences - Church Membership.
Locate the field "Select Drop Down List". Click
the down arrow and select Status. Go to field "New /
Modified Value" and enter the new status code and click
"Save New/Modified".
Please Note: It is not a good practice to define a new status
code if a household or person can fall into more than one
status code. Example: Adding a status code of Choir and Usher
would be bad because a person could belong to both groups
as be Active. In this case the person should have a status
of 'Active' and belong to both the 'Choir' group and the 'Usher'
group. Use the Groups section to classify Choir members and
Ushers.
The most common Status codes we see are: (This field has
a maximum of 15 characters so some of these are abbreviated).
- Active
- Inactive
- Visitor
- Delete
- Active NonMem ( Abbreviation for Active Non-Member
)
- Associate Mem ( Associate Member )
- Friend
- Prospect
- Shutin
Accounting
Must Know #5: (Contribution Funds Vs Accounting
Funds)
This section talks you through the process of setting up
the link between the Contribution system and the Accounting
system. In order to use this link go to Organization ->
Preferences -> Church Membership. Set the "Link
to Fund Accounting" to Yes and click save. This tells
the system that whenever contributions are posted the system
should also update the accounting system accordingly. This
is a powerful feature of IconCMO and can be used to insure
that activity in the contribution section is always recorded
in the accounting system.
There are two different types of Funds that can be
created in IconCMO.
- Contribution Funds
- Accounting Funds
Contribution Funds (C-Funds) are funds that people contribute
to. Contribution Statements are printed from information that
is posted to C-Funds.
Accounting Funds (A-Funds) are funds that are defined by
the financial group in the church for the purpose of managing
the finances of the church. For example: In addition to the
'General Fund' (which is a required fund) the board might
have a Building Fund and a Charities Fund. A separate 'Statement
of Activities' (sometimes referred to as a Profit and Loss
statement) and a 'Statement of Financial Position' (sometimes
referred to a Balance Sheet) can be run for each fund defined
as well as for all accounting funds combined. It is important
to note that all contribution funds must direct its donations
into one of the accounting funds. First, the bank account
that receives the donations is defined and second, the Contribution
Revenue account is defined.
Below is Example:
Your church offers the church four different c-funds which
they can contribute to.
- General Fund
- Building Fund
- Memorial Fund
- Flowers Fund
Each of these C-Funds will be defined by going to Contributions
-> Management -> Cont-Maintenance and adding the C-Funds
names. You want to print a Profit and Loss for General, Building
and Charities but you would like the Flowers Fund to appear
as Revenue to the Charities Fund. You need to create three
A-Funds by going to General Ledger -> Funds -> Fund
Maintenance. From the Fund Maintenance window you will add
the Building and Charities Funds (The General Fund already
exists). Then go to General Ledger -> GL -> Chart of
Accounts. There needs to be at least one Contribution Revenue
account to define where the revenue is coming from. In this
case let's define three revenue accounts and call them:
- General Contributions
- Building Contributions
- Memorial Contributions
Note that we use the term 'Contributions' instead of 'Revenue'.
This was done simply to demonstrate that these are chart of
account names and not funds. In addition to the the Contribution
Revenue accounts we need at least on bank account. Let's call
that 'Checking'.
Now we need to create the links between the C-Funds to the
Accounting system. Go to Contributions -> Management ->
Cont-Maintenance, select the General Fund in the left scroll
window and press the button titled 'Accounting Link'. A window
opens displaying the fund selected and three drop down boxes.
The example below shows how we might make the assignments.
Notice how contributions to the 'Flowers Fund' is directed
to the accounting fund called Memorial. Revenue from the Flowers
Fund will appear in the Statement of Activites' for Charities.
General Fund (C-Fund)
- Accounting Fund Affected = General Fund
- Bank Account = Checking
- Contribution Account = General Contributions
Building Fund (C-Fund)
- Accounting Fund Affected = Building Fund
- Bank Account = Checking
- Contribution Account = Building Contributions
Memorial Fund (C-Fund)
- Accounting Fund Affected = Charities Fund
- Bank Account = Checking
- Contribution Account = Memorial Contributions
Flowers Fund (C-Fund)
- Accounting Fund Affected = Charities Fund
- Bank Account = Checking (whatever checking or savings
account you want the money deposited)
- Contribution Account = Memorial Contributions
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