Difference between revisions of "Sage Integration Details"
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Jeremy Shave (talk | contribs) (New page: ==Summary== This article explains how to export/import the sales invoices and credits from Platinum, into Sage. {{Note|Receipts are NOT imported; they are paid manually (into sage) using ...) |
Jeremy Shave (talk | contribs) |
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=== Posting the Receipts === | === Posting the Receipts === | ||
*Using the ‘End of Day’ report pay off the imported transactions to the correct bank. | *Using the ‘End of Day’ report pay off the imported transactions to the correct bank. | ||
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+ | {{Note|The reports are not installed as standard are available by contacting the Sales Department on 0116 230 1500}} | ||
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+ | {{Guide}}{{KB_Tags|Accounts, Sage, Export, Import}}{{KB_RP}}{{ZN_Admin}} |
Revision as of 13:41, 12 August 2008
Contents
Summary
This article explains how to export/import the sales invoices and credits from Platinum, into Sage.
![]() | Receipts are NOT imported; they are paid manually (into sage) using the End of Day takings report printed from Platinum. |
Platinum
- Get into “Sage Exports” menu
Run the below reports between the date range required.
![]() | Be careful Sage will let you import transactions twice, so you must ensure the date range has not already been updated! |
- Run the “Sage Customers – Platinum Expt”
- Run the “Sage Invoice V/Sale – Check”
- Run the “Sage Invoice V/Sale – Actual”
- Run the “Sage Invoice Stock – Check”
- Run the “Sage Invoice Stock – Actual”
Get into “End of Day” menu
- Run the end of day takings
Sage
Customer Details
- Click the <File> drop down menu
- Choose “Import”
- Choose “Customer Records” -> “Run”
- Change the “look in” to the P: Drive
- Double click the “sage_cust.csv”
This will import all the customer accounts information into Sage.
![]() | Please ensure for existing sage customer records you enter the sage account code into the reference field on the Platinum Customer record; this will prevent the account being created twice in Sage. |
Stock Invoices/Credits
- Choose “Audit Trial Transactions” -> “Run”
- Change the “look in” to the P: Drive
- Double Click “SAGE_STOCK_IMP.CSV”
This will import all the Stock transactions into Sage
Vehicle Invoices/Credits
- Choose “Audit Trial Transactions” -> “Run”
- Change the “look in” to P: Drive
- Double click “SAGE_VS_IMP.CSV”
This will import all the Vehicle Sales transactions into Sage.
Posting the Receipts
- Using the ‘End of Day’ report pay off the imported transactions to the correct bank.
![]() | The reports are not installed as standard are available by contacting the Sales Department on 0116 230 1500 |