Line 26: | Line 26: | ||
<li>Insert season code.</li> | <li>Insert season code.</li> | ||
<li>Import account and stock as normal. Before importing stock item, check and tick any options at the bottom as needed.</li> | <li>Import account and stock as normal. Before importing stock item, check and tick any options at the bottom as needed.</li> | ||
<li>Before importing | <li>Before importing Sales & Purchase Price History, login into UBS and perform the following steps:-</li> | ||
* Transaction | Open Item Debtor | Edit B/F / O/I | Must tick mark all to O/I | exit | * Transaction | Open Item Debtor | Edit B/F / O/I | Must tick mark all to O/I | exit | ||
* Transaction | Open Item Debtor | Maintain B/F | Click on List ( if got transaction exit the list tick generate) | * Transaction | Open Item Debtor | Maintain B/F | Click on List ( if got transaction exit the list tick generate) | ||
* Transaction | Bill Payment | List Missing at arpost | if got list have to press ok if not press exit | * Transaction | Bill Payment | List Missing at arpost | if got list have to press ok if not press exit | ||
<li>Repeat step 1 to 3 | <li>Repeat step 1 to 3 for Creditor.</li> | ||
<li>After that go Tool | Option and | <li>Please check with clients if they want to do UBS Account Year End Processing Before importing Debtor or Creditor Opening Balance.</li> | ||
<li> | <li>After that go Tool | Option and change the Financial Start Period and System Conversion Date if needed.</li> | ||
<li>After done | <li>Now, run Sales and Purchase Price History (go into File | Data Import | UBS Stock).</li> | ||
> put closing period | <li>After done Sales & Purchase Price History, log in to UBS go Housekeeping | Run Setup | General Setting.</li> | ||
<li>Then go Periodic | Year End Closing.</li> | <ul> | ||
<li>> put closing period</li> | |||
</ul> | |||
<li>Then, go to Periodic | Year End Closing.</li> | |||
<li>After done the above step | go back go SQL | click IMPORT UBS ACCOUNT, then select database, you will realize then got another folder under "database name". | <li>After done the above step | go back go SQL | click IMPORT UBS ACCOUNT, then select database, you will realize then got another folder under "database name". | ||
* DO NOT select the folder under "database name". | * DO NOT select the folder under "database name". |
Revision as of 09:21, 7 November 2014
UBS
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 for Opening & Sales/Purchase Price History
- Insert season code.
- Import account and stock as normal. Before importing stock item, check and tick any options at the bottom as needed.
- Before importing Sales & Purchase Price History, login into UBS and perform the following steps:-
- Transaction | Open Item Debtor | Edit B/F / O/I | Must tick mark all to O/I | exit
- Transaction | Open Item Debtor | Maintain B/F | Click on List ( if got transaction exit the list tick generate)
- Transaction | Bill Payment | List Missing at arpost | if got list have to press ok if not press exit
- > put closing period
- DO NOT select the folder under "database name".
- After select folder, press on keyboard "CTRL + L " then tick 1 by 1.