Importing from Sage 50 Accounts
Requirements
If importing from Sage Sterling for Windows or Line 50, the required files include:
File | Containing... |
---|---|
ACCDATA\ACCOUNT.DTA | Profile information |
ACCDATA\NOMINAL.DTA | Chart of accounts and balances |
ACCDATA\NOMINDEX.DTA | Index for the chart of accounts |
ACCDATA\SPLITS.DTA | General ledger detail (Required only if selecting General Ledger Detail under Import Components) |
ACCDATA\SETUP.DTA | Accounting dates and company information |
ACCDATA\COA | Types of account information |
ACCDATA\BANK.DTA | Bank account information for the cash receipts and cash disbursement journal entries |
ACCDATA\HEADER.DTA | Index to ledger file |
DEPARTM.DTA | Department of cost center information (required if using "use department number to build entity") |
All other Sage program imports, such as Sage (DOS), use the following files:
File | Containing... |
---|---|
ACCDATA\ACCOUNT.DTA | Profile information |
ACCDATA\NOMINAL.DTA | Chart of accounts and balances |
ACCDATA\NOMINDEX.DTA | Index for the chart of accounts |
ACCDATA\POSTING.DTA | General ledger detail (Required only if selecting General Ledger Detail under Import Components) |
ACCDATA\CATEGORY.DTA | ReadRecs (types of account information) |
Prerequisites
- If Protection is activated, the File permission "Import" is required to perform this operation.
Procedure
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Open the client file in which you want to import.
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On the Engagement tab, in the Data group, click Import | Accounting Software.
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In the Import From field, select Sage 50 Accounts and in the Version field, select the version you want to import.
Note: Click here to see all accounting software supported versions.
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In the Import Path field, type the exact path where the file you want to import resides or use Browse to locate the file manually.
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Under Import Components, choose to import either:
- The Trial Balance (Opening Entries) or,
- The General Ledger Detail.
Note: Purchase receipt and Sales refund transactions will not be posted to bank accounts.
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To import client information, click Import Client Information. This information will be displayed in the Engagement Properties dialog.
- Complete the remaining fields of the dialog. >>Quick Reference
- Click OK to begin importing.
Results
Accounting data is imported into the client file.
Notes
- If importing accounts with split ups, once the import is complete, from the Tools menu, select Options | Mapping. Click the Autofill Now button to restore the account properties automatically for all accounts and ensure all balances are correct.