• PakEnergy Accounting
  • Getting Started / Overview
    • Creating a User ID
    • Splash Screen
    • Navigation in Pak Accounting
      • Hot Keys Printout
    • Help/About Screen
    • Training Videos
    • Using PakEnergy Help (F1)
    • Adding new company to existing system
    • Ordering Paper Products
    • Duplex Printing
    • Inactivity Time for Pak Accounting
    • Signatures and Logos
  • PakEnergy Anywhere (WPA)
    • WPA Getting Started
    • WPA - Using
    • E-mail and Scanning
    • Troubleshooting
    • Mac Users
    • iPhone/Android
  • Checklists
    • New Company Setup Checklist
      • Beginning Balance Steps
      • 13-period company setup
    • Daily/Monthly Checklists
      • Accounts Payable Checklist
      • Payroll Checklist
      • Deposit Entry Checklist
      • General Ledger Checklist
      • Bank Reconciliation Checklist
      • Billing Only Checklist
      • Revenue Only Checklist
      • Rev/Billing Combined Checklist
    • Year-End Checklists
    • Time Entry Checklists
      • Time Entry payroll system
      • Time Entry billing system
    • Revenue Billing Setup
      • Quick Pay Setup Checklist
    • Check Stub Setup Checklist
    • Service Ticket Checklist
  • Concepts and Terms
    • Accounting Concepts
    • Accounting Terms
    • Oil & Gas Concepts
    • Oil and Gas Terms
      • A - B
      • C - D
      • E - F
      • G
      • H
      • I
      • J-P
      • Q-Z
      • Miscellaneous Terms
  • FAQ-Frequently Asked Questions
    • General FAQ
    • A/P FAQ
      • Checks/Payments
      • Invoice(s)
      • Setup/Reports/Other
    • A/R FAQ
    • Check Stub FAQ
    • First Purchaser FAQ
    • General Ledger FAQ
      • Entries
      • Reports
      • Setup
    • Invoicing FAQ
    • Management/Utilities FAQ
    • Payroll FAQ
    • Revenue/Billing FAQ
    • Suspense FAQ
  • 1099 Module
    • Extract 1099 Entries
      • AP 1099 Extract
      • Revenue 1099 Extract
        • How to tie 1099 Supporting Schedule to Cash Flow by Owner Report
      • Other 1099/1098 Extracts
        • Extract G/L 1099's
    • 1099 Misc
      • Payee Maintenance 1099 Misc
      • Error Listing 1099 Misc
      • Print Form 1099 Misc
      • Print Form 1096 Misc
      • Export 1099-Misc Transmittal
    • Common 1099 Problems
    • 1099 INT
    • 1099 DIV
    • 1099-B
    • 1099 R
    • 1099-S
    • 1099-NEC
      • Payee Maintenance 1099 NEC
      • Error Listing 1099 NEC
      • Print Form 1099 NEC
      • Print Form 1096 NEC
      • Export 1099-NEC Transmittal
    • 1098 Mortgage Interest
    • 1042 Foreign Withholding
    • DR 0021W - CO W/H Report
    • 1099 Master File Maint
      • 1099 Transmittal
      • 1099 Company
      • State Tax ID
      • Set 1099 Year
    • IRS FIRE system
    • Filing Corrected 1099
  • Accounts Payable
    • A/P Invoice Entry
      • Enter Invoices to Pay
        • Quick Check
        • AP Code Set
        • ZZMISC
        • AP Discounts
        • AP Routing  Approval
        • Process A/P Batch Documents
        • Entering a Credit Invoice 
        • Move Invoices
        • Accounts Payable Import
      • A/P Invoice Entry - Update/Post
      • Un-Update Open Invoices
      • A/P Void Invoice
      • PO Tracking
    • Handwritten Checks/Drafts
      • Enter Checks/Drafts
      • Handwritten Check Update/Post
      • Add Ck # to Updated Inv
    • A/P Reports
      • Open Item
      • A/P Invoice
      • Insurance/W-9
      • Coding
      • Payment
    • Check Printing
      • Partial Pay/ Chg Due Date
      • A/P Mark Invoices to Pay
      • Pay A/P
        • Blank Counter Checks
      • Check Register Listing
      • A/P Void Check
    • A/P Master File Maintenance
      • A/P Company Maint
        • A/P Entry Tab
          • Auto Gross Up (Rebilling of outside operated O&G JIB)
        • A/P Entry 2 Tab
          • Direct Pay Sales Tax
        • Check writing Tab
        • Letter Templates Tab
        • Inv Routing/Approval Tab
        • PO Tracking Tab
        • Vendor Classes Tab
        • A/P Advanced tab
        • Multi-Co Options Tab
          • Multi-Company Accounts Payable
          • Multi-Company A/P Invoice Duplicate Checking
        • Interfaces Tab
      • A/P Sub-Account
        • Sharing Vendors across Companies
      • AP Routing
    • Utilities
      • Open Invoice
    • Special Features
      • A/P Credit Cards
      • Multiple A/P Accounts
      • Scanning
  • Accounts Receivable
    • A/R Reports
      • Aged Trial Balance
      • A/R Statements
      • Additional A/R Reports
    • A/R Other Options
      • Generate Interest Charges
      • Fix Paid Date
      • Collections Worksheet
      • Import Collections Status
    • Notes Receivable
    • AR Rentals
    • Simple Invoice
    • A/R Master File Maintenance
      • A/R Company Maint
        • Company A/R Invoicing
        • Company A/R Advanced
      • Customer Setup
      • Collection Status Codes
  • Bank Reconciliation
    • Reconciliation Cycle
      • Starting the Reconciliation Cycle
      • Clearing checks
      • Import Cleared File
      • Reconciling the bank statement
    • Bank Reconcilition Reports
      • Check Register listing
      • Checks by Payee
      • Cash Disbursements
      • Export Positive Pay file
    • After the Fact Checks
      • ATF Check Entry
      • ATF Post Checks
    • Unclaimed Property Reporting
      • Concepts
      • Setup and Items to Review
      • Start New Reporting Year
      • Reports
      • Owner Maintenance
      • Finalize
      • Unclaimed Property Payment Cycle
      • Troubleshooting Tips
    • Bank Rec Master File Maintenance
      • Bank Account Maintenance
      • Check History Maintenance
      • Reconciliation History Maintenance
    • Troubleshooting Issues
      • Deposits
      • Checks
      • Other Issues
  • Check Stub
    • Check Stub Input Cycle
      • Enter - Deposit/Check Stub
        • List - Edit Report
        • Added Company Costs
      • Update/Post Check Stub Cycle
    • Check Stub Reports
    • Import Menu/CDEX Setup
      • Overview/Setup
      • Edit List CDEX
      • Import CDEX
      • Full Revenue
      • General Edit List
      • General Import
    • Check Stub Utilities
      • Unpost Batch
        • Unpost by Reference
        • Unpost by Other Criteria
      • Stub History Maintenance
    • Check Stub Master File Maintenance
      • Purchaser Setup
      • Check Stub Property Master
      • Division Order
    • Company  Maintenance
      • Check Stub Company Maint
        • Check Stub Company CDEX & Adv tabs
      • Check Stub Line Items Maint
      • Product Master Maint
        • Interest Setup for Check Stub INT
        • Setting Up DIV in Check Stub Entry
      • Owner % Account Maint
      • 100% Account Maint
      • Owner GL Acct
  • Depletion
    • Cycle
      • Start Reporting Cycle
      • Import Values from G/L
      • Edit Imported Amounts
      • Compute Depletion
    • Reports
    • Master File Maintenance
      • Company (4)
      • Lease/Property
        • Calculations Example
    • Utilities
      • ASCIII Import
  • Depletion-GAAP
  • Deposit Entry
    • Entering deposits
      • Open Item Accounts Receivable
    • Override Deposit Date
    • Deposit Edit Listing
    • Print Deposit Slip(s)
    • Update/Post Deposit(s)
    • Unpost Deposit(s)
    • DE Master Files Maintenance
    • Multi-Company Deposit Entry
  • First Purchaser
    • First Purchaser Flow
    • FP Setup Checklist
      • Hauling Contract
      • Price Contracts
      • Setup for Specific States
    • First Purchaser FAQs
    • FP Entry
      • FP Daily Tank Gauges
      • FP Daily Run Ticket
      • FP Transfer/Adjustment Tickets
      • FP Apply Correction Factors
      • FP Recalculate Tickets
      • FP Correction Ticket Utility
      • FP Selective Extract
      • FP Early Pay Group Extract
      • FP Run Ticket Entry
    • FP Monthly Cycle
      • FP Operator Allocations
      • FP Start/Clear Cycle
      • FP Extract tickets to GL/Revenue
      • FP Close Out Month
      • FP Un-Update Cycle
    • FP Reports
      • Report Security Features
      • Tickets Tab
        • Ticket Reports
        • First Purchaser Reports
      • Statements Tab
      • Gas Statements
      • State Reports Tab
        • T-1 Report Setup
      • Property Tab
        • Property Reports
        • Tank/Meter Reports
        • Operator Reports
      • Pricing/Payments Tab
        • Pricing/Payment Reports
        • Hauling Rates Reports
      • Misc/Other Tab
        • Miscellaneous Reports_2
        • First Purchaser Reports
      • Letters Tab
        • Crude Oil Purchase Agreement
        • Letter Reports
      • EOM Economics
    • FP Historical
    • FP Pricing/Other file Maint
      • FP Price Index
      • FP Scales and Rates
        • FP Driver Rates
        • FP Hauling Rates
        • FP Marketer Rates
        • FP Purchase Fees
        • Price Contract Scale Maintenance
        • FP Pipeline Rates
        • FP Gas Fee
      • FP Price Contract
      • FP Truck/Trailer Maintenance
      • FP Vehicle Class Maintenance
      • FP Truck Price Code Maintenance
      • FP Early Pay Group Maintenance
      • FP Property Vol Penalty
      • FP Costs and Tariffs Maintenance
    • FP Pipeline Reconciliation
    • FP Master File Maint
      • FP Purchaser/Operator (F12)
      • FP Tank/Meter
      • FP Field/Pool
      • FP Property
      • FP Master Property
      • FP Price Base Codes
      • FP Hauling Code Types
      • FP Sales Nominations
      • FP Advanced Nominations
      • FP Third Party
      • FP Grade Code
    • FP Company Maintenance
      • FP Company
        • General tab_2
        • Miscellaneous tab
        • Production tab
        • First Purchaser tab
          • Enable Contract Volume Pricing
          • Price Differential Scale
          • Gauger Entry
          • Run Ticket Pricing-Apply Adj2 based on Vehicle Type
        • Interfaces tab
        • State Tab
        • First Purchaser Gas
      • FP Property Link
      • FP Ticket Import Group
      • FP Product
      • FP Severance Tax
        • Allocated Flat Amount Option
        • Multi Tax Code (NM)
      • FP Destination Company
      • FP Location Class
      • FP Destination Co CODEs
      • FP State/County Defaults
    • FP Utilities
      • FP TouchStar Import
      • FP TMW Import
      • FP Middleware Import
      • FP Right Angle Import
      • FP WolfePak Mobile
        • Frequently Asked Questions
        • WebPortal Setup and Use
      • FP Qv21
      • FP Welltrax
      • FP Import Run Tickets
      • FP Import Tank Guages
      • FP Export Data Files
      • FP Export Run Ticket to CSV
      • FP Enter/Edit Imported Tickets
      • FP Review Imported Tickets
      • FP Import Drivers
    • Gas Purchaser
      • Gas Ticket Maintenance
      • Enter/Edit Imported Gas Tickets
      • Review Imported Gas Tickets
      • Start/Clear Cycle
      • Extract Tickets to GL/Rev
      • Close Out Month
      • Historical Gas Tickets
    • FP Special Setups
      • Fuel Surcharge Setup
      • Run Ticket Allocation
        • Setup Basic Allocations
        • Allocation Examples
      • FP Sales and Inventory 
        • FP Sales
        • FP Inventory
      • Setting up CODE
      • Utilize Offload Volumes
  • Fixed Assets
    • Glossary
    • Reports
      • Depr Schedule
      • Tax Report
      • G/L Verification Report
    • Create G/L Entries
    • Assets
      • Asset Maintenance
      • Import From G/L
      • Adjust Accum Depr
      • Adjust Sec 179
      • Adjust Bonus Depr
      • Record Impairment
    • Master File Maintenance
      • Asset Book
      • Asset Class
      • Account Codes
      • Company Limits
    • Utilities
  • General Ledger
    • Manual Entries
      • Entering Journal Entries
        • Bank Transfers
      • Post G/L Entries
      • Unpost G/L Entries
      • Approve Entries
    • Automatic Entries
      • Standard Entries
      • Copy Entries
      • Allocations
      • Import
      • Material Transfer
    • WolfeNet - Investor
    • Reports
      • View Trend
        • Overview
        • View Trend Detail by Account
        • View Trend Detail by Journal
        • View by Sub-Account
        • Ledger Query
        • What Can/Cannot be Changed in View Trend
        • SubSystem Codes (Sys)
      • Journals
      • Ledger
      • Default Trial Balance
        • Out of Balance General Ledger
      • Cash Source/App
      • Invoice Register
      • Drilling Costs
      • Accrual Balances
      • GST Code Report
      • GEPX Export
    • Financial Reporting
      • Setup & Special Features
        • Report Definitions
        • Financial Reporting Options
          • Verify Account Ranges
          • List
          • Find/Add Report
          • Renumber
          • Selected Rec(s) Chg Tab
        • Financial Statement Presentation
        • Memory Cells and Total Levels
        • Substitution Codes
        • Summary Report Level Options
        • Switches
        • Drill Down Financial Reporting
        • Financial Summary Groups
          • Group Maintenance
            • Financial Group-Account Option
            • Financial Group-Lease Filter
            • Groups Within a Group
          • Printing Reports for a Group
          • Group Utilities
      • Balance Sheet
      • Income Statement
      • Trial Balance
      • Trend report
      • Daily/Weekly Trend Report
      • Automatic Entries to G/L
      • Budget Report
      • Spreadsheet Report
        • Lease Substitution Codes
      • Spreadsheet Trend
      • Report Catalog
      • Analytics
        • Getting Started
        • Excel Functions
        • Troubleshooting Analytics
    • WolfePak Accruals
      • Initial Entries
      • Reversal Entries
      • Import Manual Entries
      • Definition
      • Price Index
    • Master Files Maintenance
      • GL Company Maintenance
        • General Info Tab
          • Australian GST tax
        • Accounts Tab
        • File Sharing Tab
        • Financial Reporting Tab
        • Advanced Tab
        • Optional Add-On Tab
        • Approvals Tab
          • Check Writing Approval Setup
      • Posting Allowed
      • Sub-Table Maintenance
      • Journal Maintenance
      • Account Maintenance
      • Sub-Account Maintenance
        • Sub-Account Listing
        • Sub-Account Labels
        • Sub-Account Views
        • Sub-Account Utilities
          • Sub-Account Import
          • Sub-Account Mass Delete
          • Sub-Account Mass Change
          • Import From Excel
          • # Allocation
          • Entering International Addresses
      • Bank Account
        • Default Bank Code List
        • Check Options Tab
        • Company Name
        • MICR Check Options Tab
        • Signature Options
        • Lock Info Tab
        • ACH
        • Setup for Canadian Blank checks
      • Budget Maintenance
        • Budget Utilities
        • Investor AFE Tracking
      • Allocation
      • To Do List
    • Special Features
      • Consolidation vs. Combination
        • Combination
        • Consolidation
        • Financial Consolidation
        • Book to Tax Adjustments
        • Great Plains Extract
      • Dual Date Reporting
      • Foreign Currency
      • Master Grid Views
      • Multi-Company GL
  • General Ledger ACH
    • Extract ACH
    • ACH Edit Grid
    • ACH Edit Listing
    • ACH Print Statements
    • ACH Update
    • Voiding GL ACH Payments
  • Invoicing
    • Invoicing Process
      • Enter Invoices
      • Invoice Summary
      • Print Invoices
      • Edit Listing
      • Update
    • Invoicing-Other
      • View All
      • Search by Keyword
      • View by status
      • Print Past Due
      • Bill Recurring
      • Adjust Minimum Stock Level
      • Invoice Grid View
    • Purchase Order
      • Enter
      • Print PO's
      • Edit Listing
      • Update
      • Search by Keyword
      • View All
    • Reports/Inventory
      • Reports
        • Parts Reports
        • PO Reports
        • MTM Reports
        • EDI Reports
        • Shipping Reports
        • Other
      • Inventory
        • Reports
        • Update of Inventory
      • Utilities
        • Parts
        • Transaction
        • Other
    • Historical Reports
      • Invoice History
      • Parts History
      • Sales Tax
    • Master Files Maintenance
      • Company 
        • General
        • G/L
        • Invoice
        • Parts
        • Purchase Order (2)
        • Electronic Invoicing
        • MTM Reports
        • Other
        • Shipping
      • Custom Fields
      • Class Maintenance
      • Part Maintenance
        • Part General information Tab
        • Part Discounts & Markup Tab
        • Part Purchasing & Pricing Tab
        • Part Other Tab
        • Part History Tab
        • Part Vendor Tab
        • Part Price Book
        • Part Maintenance Menu
      • Credit Card Maintenance
      • Tax Rates
      • Next Number Assignment
      • Account
      • Sub-Account
      • Pricing Group Maintenance
      • Pricing Group Update
      • Invoice Formats
        • BRS Invoice
        • BT Work Order
        • Comment Invoice
        • CR Invoice
        • CR Invoice 2
        • CW Invoice
        • Days Invoice
        • DC Invoice
        • Default Invoice
        • Desc Invoice D
        • Disc Invoice
        • Disc Invoice 2
        • DiscInvoice3
        • DM Invoice
        • EP Invoice
        • Invoice 2
        • Item Invoice
        • Item Invoice 2
        • Item Invoice 3
        • Item Invoice 4
        • Item Work Order
        • Letterhead Invoice
        • Letterhead WO Invoice
        • LS Invoice
        • MS Invoice
        • PTB Invoice
        • Retail Invoice
        • SP Invoice
        • TO Invoice
        • Well, Asset, Pers Invoice
    • Optional Features
      • Buyouts
      • Commissions and Reimbursements
      • Cost-Plus Percentage
      • Discounts
        • Customer Discount
        • Volume Discount
        • Class Code Discount
      • Electronic Invoicing
      • Multi-Location
      • INV Rentals
        • Calendar Month Rentals
        • Monthly Rentals
        • 28 Day Rentals
        • Rental Menus
      • Sub Assembly
      • Surcharge
      • Use Tax
      • Work In Process
  • Management Dashboard
    • Data Analysis
    • Audit Reports
      • Batch Posting Master Status
    • Management Functions
      • Submit Wire/ACH Pmts
      • PakEnergy Exchange Maintenance
      • PakEnergy Exchange Utilities
        • Pak Exchange FAQ
      • Transaction Report
      • Welltrax Maintenance
  • Oil and Gas Production (OGP)
    • OGP Helpful Information
      • OGP Setup Checklist
      • OGP FieldDIRECT Setup
      • OGP State Specific Setups
      • OGP Glossary
    • OGP FAQs
    • OGP Entry
      • OGP Daily Production
        • CONNECT
      • OGP Daily Run Ticket
      • OGP Monthly Gas Sales
      • OGP Apply Correction Factors
      • OGP Recalculate Tickets
      • OGP Date Scenarios
    • OGP Monthly Cycle
      • OGP Start/Clear Cycle
      • OGP Summary Maintenance
      • OGP Close out month
      • OGP Edit Billing Comments
      • OGP Un-Update Cycle
    • OGP Report Security Features
    • OGP Reports
      • Emailing Production Reports
      • Tickets Tab
        • OGP Current Daily Run Ticket Listing
        • OGP Daily Run Ticket Edit Listing
        • OGP Run Ticket Detail
        • OGP Run Ticket Comparison Report
        • OGP Export Run Tickets in CODE Format
        • OGP Run Ticket Seal #
        • OGP Check Stub Comparison Report
        • OGP Tickets With Questionable Data
        • OGP Run Ticket Views
      • Production Tab
        • OGP Daily Production Detail Listing
        • OGP Daily Production Grid Views
        • OGP Daily Disposition
        • OGP Monthly Gas Sales Listing
        • OGP Property Production Report
        • OGP Disposition Listing
      • Statements Tab
        • OGP Operator's Run Statements
        • OGP Production Report for Owners
        • OGP Monthly Production Grid Views
        • OGP Interest Owner Statement
        • OGP Pipeline Statements
      • State Reports Tab
        • OGP State Production Reports
        • OGP Make EDI Files
        • OGP Dept. of Energy Production Report
        • OGP Minerals & Manage Services Report 4054
      • Property Tab
        • OGP Property Views
        • OGP Property Master Listing
        • OGP Field/Pool Listing
        • OGP Commingle Facility Listing
        • OGP Tank/Meter Listing
        • OGP Tank Strapping Report
      • Pricing/Payments Tab
      • Misc/Other Tab
        • OGP Sub Account Views_2
        • OGP Sub Account Listing
        • OGP State County Defaults Report
        • OGP Master Property Listing
        • OGP Reporting Sub-Group Listing
    • OGP Historical
      • OGP Daily Production Historical
      • OGP Daily Run Ticket Historical
      • OGP Monthly Gas Sales Historical
      • OGP Summary Maintenance
    • Pricing/Other File Maintenance
      • OGP Price Index
      • OGP Scales
      • OGP Price Contract
    • Prod Master File Maintenance
      • OGP Purchaser/Operator
      • OGP Production Tank/Meter
      • OGP Field/Pool
      • OGP Property
        • OGP Commingle
        • Property - Company Options tab_2
        • Property - Other tab
        • Property - Price Contract
        • Property - Production tab
        • Property - Purchasers tab
        • Property - Well Tests Downtime
      • OGP Master Property
      • OGP Third Party
      • Destination Comp.  CODEs
    • OGP Company Maintenance
      • OGP Company Maintenance
        • OGP General
        • OGP Miscellaneous
        • OGP Production
        • OGP Interfaces
        • OGP State
      • OGP Property Link
      • OGP Product
      • OGP Disposition  Maintenance
      • OGP Destination Company
      • OGP Downtime Codes
    • Production Utilities
      • WolfePak Pumper Import
        • WPPumper Basic Navigation
        • WPPumper Concepts and Terms
        • WPPumper Setup
        • WPPumper Basic Operations
          • Lease Daily Entry
          • LACT Unit Entry
          • Multiple Meters
          • Negative Production
          • Run Tickets
          • Adjustments
          • Down Time
          • Well Tests
          • Water Tickets vs Water Hauls
          • Reporting
  • Payroll
    • Payroll Cycle
      • Start - Payroll Cycle
        • Cycle History
        • Detail Groups
      • Pay Summary Maintenance
        • Allocate Salaries
        • Missed Deductions
      • Payroll Review
      • Print Payroll Checks
      • Print Payroll Register
      • Print Check Register
      • Update/Post Payroll Cycle
      • 3rd Party Payee Checks
      • Email Emp Stubs
    • Employee/Check Maintenance
      • Security in Employee Master Maintenance
      • Employee Master
        • Name/address tab
        • Earnings/Deductions tab 
        • Taxes tab
        • Direct Deposits tab
          • Direct Deposit/Sending the ACH File to the Bank
        • Vacation/Sick tab
        • Events tab
        • YTD tab
        • Comments tab
        • Special tab
        • Other tab
        • Documents tab
        • Payments tab
          • Check History Mass Chg
          • Payroll Check History Delete
        • ACA tab
      • Check History
        • Mass Change
      • Employee Detail Mass Change
    • Payroll Reports
      • Reports - Employee
      • Reports - Historical
        • 401K Deduction
        • Deduction report
        • Workers Compensation Report
          • Worker's Comp Audit Report
        • Employee Change Report
      • Reports - User defined
    • Reports - Quarterly
      • Wages Paid
      • Taxes Deducted
      • Unemployment Wages Report
      • IRS 941 Report
      • State Unemployment Report
      • Multiple Worksite
      • Taxable Wages and Withholding State File
    • Payroll Year End
      • IRS 940
      • Zero sick/vacation balances
      • IRS 943
      • IRS 944
      • Tax Credit
      • Third Party Sick Leave
      • Reports W-2
        • Extract W-2 data
        • Company/Transmitter Maintenance
        • Employee Maintenance
        • Edit Listing
        • Print W-2 Forms
        • Print W-3 Forms
        • Export W-2 Transmittal
        • Assessing Year-End Data
      • Accuwage
      • Affordable Care Act
        • ACA Initial Setup Checklist
        • ACA Reporting Checklist
        • ACA Self-Insured Addendum
        • ACA Electronic Filing with the IRS
        • ACA Corrected Files
    • Master File Maint Payroll
      • Basic Options
        • General Tab
        • G/L Tab
        • Taxes Tab
        • Pay Groups Tab
        • Workers Comp Tab
        • Detail  Codes Tab
          • Paying Contract Labor through Payroll
          • Detail Code examples
          • Deductions Based on % of Net Check
          • Earnings Detail
          • Deduction Detail
          • Company Cost Detail
            • Using Company Costs to Track Expenses
          • Sliding Scale OT
          • Tips
          • Employee A/R
          • Employee A/R with Balances
          • Employee Reimbursements
          • Child support
          • Fringe Benefits
          • Non-Taxable Earning Reimbursement
          • 401K Plan
          • PA City and County Tax Setup
        • State Unemployment Rates
        • States Tab
        • Form 941/943/944
        • New Hire Reporting Tab
        • Vacation Sick Accrual
        • Codes tab
        • Australian Options
      • Advanced Options
        • 401K Options
        • Intercompany payroll
        • Time Entry Options
          • Time Clock Interface
        • Event Maintenance
        • Time Card
        • Other Options Tab
        • Check Options Tab
        • ACH Direct Deposit
          • ACH Child Support Setup
          • Voiding a Child Support ACH Payment
        • ACH Upload
        • ACA
      • Payroll Company Documents
      • Bank Account Master
      • Accrual Accounts
      • Cycle Lock Status
      • Dispatch Locations
      • Mass Change Utilities
      • Time Entry
    • Special Features / Processes
      • Correcting Cycle
      • Correction for Special Tab
      • Clearing Payroll Liability Accounts
      • Payroll Combined
      • Time Entry Systems
  • Purchase Order
    • CPO Master Statuses
    • Purchase Order
      • Enter
      • Print PO(s)
      • Edit Listing
      • View All
      • Search by Keyword
      • Approval Grid
        • To Record Receipts of Parts or Services
        • Matching Invoices against POs
      • Update Grid
      • Pending Grid
      • Re-Order Options
        • Order Buyouts/Stock
        • Re-Order Rpt by Vendor
        • Re-Order Rpt by Part#
        • Generate Automatic PO's
    • Reports
    • CPO Company Maint
      • CPO Options
      • Account Profile
      • User Security
      • G/L Part Master
      • Approval Routing
  • Revenue/Billing
    • Revenue/Bill Cycle
      • Rev/Bill Extract Entries
        • Current Tab
          • Rev/Bill Extract General
            • Refund Credit Billings
          • Rev/Bill Extract Billing
          • Rev/Bill Extract Revenue
          • Rev/Bill Extract Suspense
          • Rev/Bill Extract Billing Simulation
          • Rev/Bill Correction Cycle
        • Historical Tab
      • Rev/Bill Distribute/Combine
      • Rev/Bill Pre-Check Reports
      • Rev/Bill Approve Checks
      • Revenue Write Checks
      • Rev/Bill After Check Reports
        • Settlement Statement
          • Groups on Settlement Stmts alternate
      • Generate Update Reports
      • Update/Post Revenue/Billing Cycle
      • E-Mail Statements
      • Cycle Lock
      • Special Cycle Features
        • Revenue ACH/Wire option
          • Creating/Submitting 
          • Void Process
        • Collating, Sorting, and Duplexing 
    • Reports/Corrections
      • Reports
        • Owner Reports
        • Property Reports
          • Unpaid/Unbilled Report
          • Historical Unpaid/Unbilled Report
        • DOI Reports
        • Suspense Reports
          • Suspense vs GL Balance
          • Using the Suspense Trend Report
        • AFE Reports
        • Miscellaneous Reports
        • State/Fed Reports
          • TX Exempt Tax Code for TX Severance Tax EDI Report
        • Division Orders Reports
      • Change/Correct/Void
        • Revenue Tab
          • Voiding Revenue
          • Revenue Distribution Correction
            • Revenue Correction by owner example
            • Revenue Correction by property example
          • Change Suspense
          • Adding Suspense
          • Check History Add New
          • Severance Tax Code Change/Corrections
        • Billing Tab
          • Billing Corrections
            • Billing Corrections - By Property 
            • Billing Corrections - By Owner
            • Undo Billing Corrections
        • DOI/Owner/Property Tab
          • Mass Suspense Code Change Utility
      • Create Partnership Entries
      • Partnership Statement
    • Billing Maintenance
      • Loading Morning Rpt Data
      • Overhead Maintenance
      • Authority for Expenditure (AFE)
        • AFE Maintenance
        • AFE Advanced Features
        • Netting Options-AFE/Operations
        • Multiple Stage AFE Setup
        • Turnkey
    • Outside Operator Expenses
    • Rev/Bill Master File Maintenance
      • Property Maintenance
        • Property - DOI Tab
        • Property - Groups Tab
        • Property - Company Options Tab
        • Property - Severance Tax Tab
        • Property - Rev Deducts
          • Property - Quick Pay setup
        • Property - Purchasers
        • Property - Project Notes
      • Field Pool
      • Owner Master
        • Summary Tab
        • General Tab
        • Warrant Tab
      • Division of Interest
        • Date sensitive DOI
        • DOI Mass Change
        • Non-Consent
      • Investor Interface
        • Investor Interface Billing
        • Investor Interface Revenue
        • Investor Interface Other
        • 100PC Investor
        • WolfeNet - Operator
        • Manual Extract
        • Reviewing Investor Interface Entries
    • Rev/Bill Company Maintenance
      • Rev/Bill Company
        • Accounts Tab
        • Jrnl#/SubTbl Tab
        • Pty Susp/Net Tab
        • Cycle Tab
        • Checks/Stmts Tab
        • Settlement Stmt Tab
        • AFE Tab
        • Partnerships Tab
        • Distribution Tab
        • Other Tab
        • Division Order Tab
        • Royalty Reporting
      • Property Link
      • Rev/Bill Categories
      • Suspense Code
      • Fed/State Withholding
      • State Interest Definition
      • Severance Tax
        • Severance Tax Error-No Accounts Have Been Defined for a Specific Product
          • Texas Low Producing Oil Lease Severance Tax Credit
        • Severance Tax Corrections
        • Severance Tax Reporting and Filing
        • Severance Tax Anomalies
      • Severance Tax Exemption
      • Revenue signature
    • Special Features
      • Deleted Interest Setup
        • Billing Deleted Interest Setup Billing
        • Revenue Deleted Interest Setup
        • Deleted Interest Errors
      • EnergyLink
      • Division of interest and the “==” feature
      • Reallocating Exempted Owners
      • Fund Deducts
      • Reallocate a paid, but not billed, invoice
      • Net Revenue Check Percentage Deduction
      • Project Reporting
      • Partnership Separate Checks/Stmts
      • Compressed/Grid detail format
      • Rollup Settlement Stmts
      • Check Fee
  • Service Ticket
    • Ticket/Invoicing
      • Enter Tickets
      • View Unbilled Tickets
      • Unbilled Tickets Grid
      • Print Tickets
      • Update Tickets
      • Assign Invoices
      • View Invoices
      • Print Invoices
      • Update Invoices
    • Reports
      • View All Tickets
      • Locate Third Party Tickets
      • Locate Ticket by Part #
    • Ticket Reports
      • Equipment Usage summary
      • Tickets by Job Location
      • Truck Usage Report
      • Rig Usage Summary
      • Sales Report Summary
    • Labor Hours
      • Extract Hours to P/R
      • Labor Hours-Payroll Reports
      • Labor vs Truck Hours
      • Labor Hours for Part
    • Invoices
      • View by Customer
      • Sales Tax Report
      • Sales by Customer
      • Sales by Part Number
      • Sales Tax Audit Report
      • Invoice Register
      • Submit Oildex Invoices
      • Re-submit Historical Oildex Invoices
      • Re-create Electronic Invoice
      • Re-create Electronic Invoice Image File
    • Saltwater Disposal
      • SWD Summary by Customer
      • SWD Summary by Well Grid
      • Export to Excel
    • P-18
    • UIC19/19A
    • Master File Maintenance
      • Company
        • General tab
        • Surcharges tab
        • Invoice Options 1 tab
        • Invoice Options 2 tab
        • Electronic Invoicing tab
        • Interfaces
      • Parts and Facilities
        • Facilities
      • Customers/Job Locations
        • Job Location tab
        • Billing Groups tab
        • Special Pricing Tab
      • Tax Rates
      • Labor Job codes
      • Special Pricing
      • Item Type Maint
      • Unit of Measure
      • Equipment Sub-Account
      • Part Category Maintenance
    • Utilities
      • Rebuild Ticket Files
      • Reverse Status of an Updated Invoice
      • Enter/Edit Imported Tickets
      • Imported Tickets Review
      • Welltrax Water Ticket Sync
      • ITS Ticket Import
      • ITS Sync Log Grid View
      • Parts Import
    • Electronic Invoicing
    • Special Features
      • Using Two Dates
      • Equipment # Setup
      • TERP Tax
      • WP Mobile Water Ticket
      • Invoice Formats
  • Utilities
    • Rebuild
      • Rebuild Data Files
      • Fix Paid Date
    • Backup/Restore
      • Backup WolfePak Data Files
      • Restore WolfePak Data Files
      • Partial Backup
      • File Transfer
      • Folder Transfer/Compare
    • Import/Export
      • Landpro Import
    • Resummarize
      • G/L Posted Detail Fixes
      • Payroll Resum/Compute
      • Rev/Billing Utilities
      • Invoicing Utilities
      • Document Error Report
    • Logs
      • System Version
    • Company-wide Changes
      • Sub-Account
    • Miscellaneous
    • Global
      • System Options
        • Email Setup
      • PakEnergy Download
      • User Level Security
        • Mulitple Posting Dates
        • Security Listing
        • Utilities
      • List Logged in Users
        • FP Report Security Features
      • P/R Federal and State Tax Tables
      • List Company Cross Ref
      • Currency Translation Master
      • Unclaimed Property Settings
    • Default Forms
      • Letter Templates
      • Footnote Maintenance
    • Alerts
      • Alert Groups
      • Alert Definitions
      • Alert Response
      • Automatic Positive Pay Upload
  • Optional Sub-Systems
    • House Meters
      • Cycle
        • Edit Current Cycle
        • Assign & Compute Invoices
        • Invoice Edit Report
        • Revenue Lease Report
        • Print Invoices
        • Update Cycle
      • Reports_2
      • Master File Maintenance
        • Company
        • Reader
        • Meter
    • Land
    • Mineral Interest System
      • File Maintenance
        • Deed Maintenance
          • Legal/Location tab
          • Cost/Acres tab
          • G/L Wells tab
          • Companies tab
          • Mineral Leases tab
          • Surface leases tab
          • Taxes tab
        • To Do Items
        • Tax Amount Maintenance
      • Reports
      • Deed Listings By
      • Master Grid Views
        • Deed Views
        • Lease Views
      • Utilities
        • Company
        • Change Deed Number
    • Time Entry
      • Time Entry Screen
      • Time Entry By Job
      • Labor Reports
        • Time Entry Report by Job
        • Certified Payroll Report
      • Time Billing
        • Create A/P Entries
        • Assign Invoice #'s
        • Hold Invoice
        • Billing Edit
        • Invoices Print
        • Post Billing
      • Time Entry Master File Maint
        • Date Maintenance
        • Pay Code Maintenance
        • OVR Pay Rates by Job
        • OVR Billing Rates by Job