Line 26: | Line 26: | ||
<p>Here are the things to do before data import:-</p> | <p>Here are the things to do before data import:-</p> | ||
<ol> | <ol> | ||
<li>Open SQL Accounting and create a new empty database.</li> | <li><b>Open SQL Accounting and create a new empty database.</b></li> | ||
</ol> | </ol> | ||
<p>The following steps is only needed if you are importing opening balance or current transactions:-</p> | <p>The following steps is only needed if you are importing opening balance or current transactions:-</p> | ||
<ol> | <ol> | ||
<li>Go to File | Product Activation and insert your | <li>Go to <b>File | Product Activation and insert your Activation Code</b> or <b>Season Code</b> and click Register.</li> | ||
<li>If current transactions involve GST tax code, go to GST | Start GST Now to activate GST module.</li> | <li>If current transactions involve GST tax code, go to <b>GST | Start GST Now to activate GST module.</b></li> | ||
<li>To minimize any pop-up dialog during import:-</li> | <li>To minimize any pop-up dialog during import:-</li> | ||
* Go to Tools | Options | Unit Price. For all tabs (Sales, Purchase, Stock, Cash Sales & Cash Purchase), under the Option column, change all to blank as shown below:- | * <b>Go to Tools | Options | Unit Price. For all tabs (Sales, Purchase, Stock, Cash Sales & Cash Purchase), under the Option column, change all to blank</b> as shown below:- | ||
[[File:Tips options uprice.JPG]] | [[File:Tips options uprice.JPG]] | ||
* Go to Tools | Options | Miscellaneous and untick <b>Prompt Negative Stock Quantity Dialog Box</b> and <b>Prompt Duplicate Cheque Number</b> | * Go to <b>Tools | Options | Miscellaneous and untick <b>Prompt Negative Stock Quantity Dialog Box</b> and <b>Prompt Duplicate Cheque Number</b> | ||
* Logout and login as the new user you created. | * Logout and login as the new user you created. | ||
* You may revert the changes back to original after data import. | * You may revert the changes back to original after data import. | ||
<li>Go to Tools | Options | General Ledger and change the | <li><b>Go to Tools | Options | General Ledger and change the Financial Start Period</b> and <b>System Conversion Date</b> if needed.</li> | ||
</ol> | </ol> | ||
Revision as of 03:48, 5 January 2016
UBS
IMPORTANT NOTE
- Please double check all data imported into SQL Accounting from UBS. - Data might not be 100% accurate because the tool imports direct from UBS database instead of through the UBS software. - We will appreciate if you would help report any issue encountered with detailed information so we can improve the data import tool.
Limitation & Precaution
- No support for opening balance with foreign currency.
- This is because UBS have two posting (1 local, 1 foreign) for foreign currency transaction and sometimes one of the posting might be missing.
- This is to avoid system from auto-delete AR/AP opening balance when importing Price History with same document number.
Housekeeping
- After UBS database is restored, run the following Housekeeping operation:-
- Index All Files
- Recover Data After Power Failure
- Delete Unwanted Transactions
Preparing SQL Account for Data Import
Here are the things to do before data import:-
- Open SQL Accounting and create a new empty database.
The following steps is only needed if you are importing opening balance or current transactions:-
- Go to File | Product Activation and insert your Activation Code or Season Code and click Register.
- If current transactions involve GST tax code, go to GST | Start GST Now to activate GST module.
- To minimize any pop-up dialog during import:-
- Go to Tools | Options | Unit Price. For all tabs (Sales, Purchase, Stock, Cash Sales & Cash Purchase), under the Option column, change all to blank as shown below:-
- Go to Tools | Options | Miscellaneous and untick Prompt Negative Stock Quantity Dialog Box and Prompt Duplicate Cheque Number
- Logout and login as the new user you created.
- You may revert the changes back to original after data import.
Import Master Data
Here are the step-by-step guide to importing master data:-
- Go to File | Data Import | UBS Account and select the UBS Account database folder.
- Tick Chart of Account and Execute. Once import is done, go to GL | Maintain Account and check the trade debtor/creditor control account, bank account & etc. if they exist and their respective Special Account Type is correct.
- Go to Tools | Options | Customer and change the Default Control Account. Repeat the same for Supplier.
- Go to Tools | Options | General Ledger and set the Default Account accordingly.
- Tick Stock Group, Category, Location, Price Tag and Stock Item.
- Also pay attention to the options below where you can choose to import extra Stock Item data such as UOM with Rate < 1, Stock Opening Balance & etc.
Preparing UBS for Sales & Purchase Price History Data Import
- Before importing Sales & Purchase Price History, login into UBS and perform the following steps:-
- Transaction | Open Item Debtor | Edit B/F or O/I | Must tick mark all to O/I | Exit
- Transaction | Open Item Debtor | Maintain B/F Bills | Click "List" (Exit "List" and click "Generate" if there are transactions)
- Transaction | Open Item Debtor | Bill Payment Ledger | List Missing Records in Arpost.DBF | Press OK if there are items in the list or press Exit if non
Preparing UBS for Opening Balance & Current Transaction Data Import
- Before importing Opening Balance, login into UBS and perform the following steps:-
- Go to Housekeeping | Run Setup | General Setting.
- Put the "Closing Period"
- DO NOT select the folder under the UBS database folder. E.g. "DATA2013"
- After select folder, under Customer/Supplier Master Account, tick the Opening Customer/Supplier - XXX options you wish to import.
Import Current Transactions
Please be aware that Import Current Transaction is under BETA and do not expect 100% accurate data to be imported.
Import Sales & Purchase Current Transaction
- Go to File | Data Import | UBS Stock and select the UBS Stock database folder.
- Under Stock Item, tick the Current Transaction - XXX options that you wish to import.
- Click Execute and wait for the import to complete.
- Under Customer Current Transaction, tick the [BETA] Current Customer - XXX options that you wish to import.
- Click Execute and wait for the import to complete.
- Repeat the same steps for options under Supplier Current Transaction and GL Current Transaction.
Troubleshooting
- First, it is best to tick and import one item at a time and perform backup before importing the next item.
- This is what you can do if the import process stopped halfway because of some error:-
- First, you can click "Copy log to clipboard" button and paste it into a notepad or just copy the last line of the log manually
- Then, you can skip the record with error as shown below:-
- Highlight the item you're importing
- Change the record no to the next number
- Click Save and then click Execute again to resume
Steps
http://www.sql.com.my/document/Import%20UBS%20Guides.pdf
See also
- Others Data Import