This window can be used to review previously posted transactions
by date range, that are associated with the third-party accounting
application that has been activated in Integrated Accounting.
Accounting options include:
Resulting Transactions:
Focus on or highlight one of the transactions in the screen and
click DETAILS to view the QuickBooks, Xero, or MYOB
transaction details.
Errors:
If export fails, the transactions with errors
can be Voided in the Export Transaction
Journal window.
Any valid transactions in the Batch can be re-exported and the
Voided entries need to be handled manually in the third-party
accounting application.
When all journals are exported or voided, the Batch is flagged as
exported.
If an error is triggered because the description of a G/L Account has been changed in Chart of Accounts the account description must be updated manually to match in SRM and in the third-party accounting application.
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