Fund Accounting

MHI's Fund Accounting System is a financial management software system designed for use by city and county governments, and by non-profit institutions. The system successfully integrates and addresses State Board of Accounts requirements with institutional specifications. The MHI Fund Accounting System is designed to serve as an effective and efficient financial management tool as well as to provide an adequate record of operations and informative reports.

Flexibility and Ease-of-use is the key to making the Fund Accounting System an efficient management solution. Because the system is designed to be used by 'non-accountants', two-sided journal entries are automatically executed. For example, to post a claim amount, the clerk simply enters the claim information and indicates the claim expenditure account to which the transaction is to be posted. When the claim check is printed, the system automatically posts the claim amount and creates the correct offsetting entry. The system can be customized to meet the needs of an individual institution, and numerous optional features are available.


PAYROLL PROCESSING


CLAIM PROCESSING


REVENUE PROCESSING


BUDGET PROCESSING


ENCUMBRANCE AND PURCHASE ORDER PROCESSING


MISCELLANEOUS FEATURES