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for the question 4 (a), (b) ,(c), (d) ,(e) I have no idea of finding the entities and attributes for the it and how to

for the question 4 (a), (b) ,(c), (d) ,(e) I have no idea of finding the entities and attributes for the it and how to draw the logical and physical diagram

image text in transcribed FIT2090 Business Information Systems and Processes (Individual) Assignment 1 (100 marks) New Submission Deadline: 5pm, 1 September 2017 A. Attempt all the questions in this assignment B. Submit a written report based on the following submission requirements: This assignment is 12% of the total assessment for this unit. Written submission must be made by the due date otherwise a penalty of 10% reduction in the marks gained per late day will be applied. (For example, if you get 70%, but are 2 days late, your mark will be reduced by 10% of 70 (the marks gained) x 2 (two days late), 14 marks). Assignments are to be submitted online to Moodle. Plagiarism declaration: Assignments are to be submitted online to Moodle. Note: You need to accept the cover sheet statement in Moodle before you can submit this assignment. Submissions must include: answers to questions, required diagrams (if any) and references to articles/papers that you have used in your answers. All submission must be in the form of a word document (or pdf) and saved as: AAAA-BBBB FIT2090 A1.docx(or .pdf), where 'AAAA' is your tutor name (Anthony, Hongli, Michael, Peter) and 'BBBB' is your full name. You must negotiate any extensions with your tutor/lecturer via the in-semester special consideration process: http://www.infotech.monash.edu.au/resources/student/equity/specialconsideration.html See also link for help in completing this assignment: http://www.monash.edu/it/current-students/resources-and-support/style-guide 1 Question 1 (5 marks) What is the purpose of business process modelling? Question 2 (5 marks) Compare and contrast the purpose of and techniques used in drawing physical DFDs and logical DFDs. Question 3 (90 marks) Background and Billing Process Fairfaxx Novelties manufactures and sells novelty items to retail stores. Completed orders (goods and attached sales order) are received in the shipping department from the factory floor. The shipping clerk keys the sales order number into the computer in the shipping department. The computer accesses the sales order on the sales order master data and displays the open sales order. After determining the correct sales order has been displayed, the shipping clerk keys in the items and quantities being shipped. The clerk reviews the shipment data and, if correct, accepts the input. (Note: the remainder of the shipment process is beyond the scope of this case narrative) After the shipment data has been accepted, the computer updates the sales order master data to reflect the shipment, creates and records an invoice on the accounts receivable master data, and prints an invoice, in three copies on the printer in the billing office. A billing clerk signs the invoice, mails copies 1 and 2 to the customer, and files copy 3 by customer name. Cash Receipt Process Assume that customers have been billed and have sent a payment with copy 2 of the invoice, on which they have filled in the amount remitted. The cash receipts clerk compares the cheque to the amount written on the invoice and, in a space reserved, enters the amount received so that it can be computer scanned. Cheques and these invoice copies are batched. The invoice copies are sent to the IT department. The deposit slip is prepared, in triplicate, and the cheques are deposited. Copies of the batch totals and deposit slip copy 2 are filed separately by date. Copy 3 of the deposit slip is sent to the treasurer's office. The IT department uses an optical scanner to process the invoice copies. This run occurs each evening at 10 p.m. Customers' accounts are posted, and a cash receipts listing is produced and 2 sent to cash receipts each morning, where it is checked against and filed with the related batch totals. A copy of the cash receipts listing is sent to the treasurer's office. Based on the given cash receipt process given above, answer the following questions: a. Prepare a table of entities and activities (8 marks) b. Draw a context diagram (6 marks) c. Draw a physical data flow diagram (DFD) (14 marks) d. Prepare an annotated table of entities and activities. Indicate on this table the groupings, bubble numbers, bubble titles to be used in preparing a level 0 logical DFD (6 marks) e. Draw a level 0 logical DFD (14 marks) f. Draw a system flowchart (22 marks) Please note that in addition to the above, marks are also allocated to the presentation of your assignment including completeness, correctness and consistency of diagrams. (20 marks) 3

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