How do I create a Peachtree (Sage 50) Payroll export file?



Similar documents
Creating a Distribution List from an Excel Spreadsheet

How to Create Your Own Crystal Report

How to use Microsoft Access to extract data from the 2010 Census P.L Summary Files

Instructions for applying data validation(s) to data fields in Microsoft Excel

FrontPage 2003: Forms

Excel Import/Export Integration User Guide

File Management Utility User Guide

Follow these procedures for QuickBooks Direct or File Integration: Section 1: Direct QuickBooks Integration [Export, Import or Both]

How to use Microsoft Access to extract data from the 2010 Census Summary File 1

Tutorial 3. Maintaining and Querying a Database

Microsoft Office 2010

Trend Micro PC-cillin Internet Security 2006

Decision Support AITS University Administration. Web Intelligence Rich Client 4.1 User Guide

Quick Start Guide. Highly customizable automated trading Automate your trades according to rules and models you create.

Time Clock Import Setup & Use

Help File. Version February, MetaDigger for PC

History Explorer. View and Export Logged Print Job Information WHITE PAPER

Support Desk Help Manual. v 1, May 2014

Export. Exporting Client Addresses

IFAS Reports. Participant s Manual. Version 1.0

New Features in Sage BusinessVision 2013 (version 7.6)

Process Document Campus Community: Create Communication Template. Document Generation Date 7/8/2009 Last Changed by Status

2012 Teklynx Newco SAS, All rights reserved.

ICP Data Entry Module Training document. HHC Data Entry Module Training Document

Microsoft Access Rollup Procedure for Microsoft Office Click on Blank Database and name it something appropriate.

Creating QuickBooks Reports for Workers Compensation and General Liability Audits

MLS Setup Guide Set up custom export for MATRIX

Note: With v3.2, the DocuSign Fetch application was renamed DocuSign Retrieve.

Alliance Payroll Services, Inc. Millennium Report Writer

Accounts Payable Expense Distribution Tables

Client Accounting Suite Conversion Guide. User Guide

Mail Merge Creating Mailing Labels 3/23/2011

Snap 9 Professional s Scanning Module

Invoice Quotation and Purchase Orders Maker

SQL Server Setup for Assistant/Pro applications Compliance Information Systems

Council of Ontario Universities. COFO Online Reporting System. User Manual

Data Export User Guide

Mac Outlook Calendar/Scheduler and Tasks

HireTouch Sending Applicant Correspondences ( s)

IRA Pivot Table Review and Using Analyze to Modify Reports. For help,

Add and Change Direct Deposit Elections

WorldShip Export Shipment Data

Bank Manager Version

AUTO ARCHIVING. December, 6 th 2005

Using Ad-Hoc Reporting

Advanced Excel 10/20/2011 1

Create a new investment form and publish it to a SharePoint 2013 forms library

Business Online Banking ACH Reference Guide

Pharmacy Affairs Branch. Website Database Downloads PUBLIC ACCESS GUIDE

Mail Merge Using Thunderbird. Bob Booth February 2009 AP-Tbird2

emarketing Manual- Creating a New

Launch Create Store. Import Orders Enter Orders Manually Process Orders. Note: Ctrl+click on a number to jump to that topic.

Transitioning from TurningPoint 5 to TurningPoint Cloud - LMS 1

Myridas Catalogue Based Sales User Guide

EVENT LOG MANAGEMENT...

Webmail Instruction Guide

ANCS+ 8.0 Remote Training: ANCS+ 8.0, Import/Export

How to transfer your Recipient Address Book from FedEx Ship Manager at fedex.ca to FedEx Ship Manager Software

2009 Braton Groupe sarl, All rights reserved.

Opening a New Case in Client Profiles for Windows (Juris Integration)

Updated 08/2015. Wire Transfer User Guide

Creating a Marketing Campaign

DIRECT PAYMENTS (ACH TRANSFER MODULE)

Infinite Campus Ad Hoc Reporting Basics

How To Create A Powerpoint Intelligence Report In A Pivot Table In A Powerpoints.Com

S A G E P A S T E L P A R T N E R V E R S I O N 1 2 V e r s i o n T r a i n i n g M a n u a l L e s s o n 6

Section 4. Mastering Folders

DIRECTIONS FOR SETTING UP LABELS FOR MARCO S INSERT STOCK IN WORD PERFECT, MS WORD AND ACCESS

Managing Identities and Admin Access

How to Consolidate Members

Microsoft Windows XP Firewall

Using an Access Database

Steps to Create a Database

Creating an Excel Spreadsheet Report

How To Download Nvision Reports In Awnsoft Peoplesoft Report Manager And Nvision Operating Reports In Excel

Microsoft Office. Mail Merge in Microsoft Word

Electronic Ticket System

Intro to Mail Merge. Contents: David Diskin for the University of the Pacific Center for Professional and Continuing Education. Word Mail Merge Wizard

Knowledgebase Article

Search help. More on Office.com: images templates. Here are some basic tasks that you can do in Microsoft Excel 2010.

SCHOLARONE MANUSCRIPTS PUBLISHER-LEVEL REPORTING GUIDE

The Welcome screen displays each time you log on to PaymentNet; it serves as your starting point or home screen.

LBi HR HelpDesk: IMPORTING EMPLOYEE DATA

The QuickBooks Extension

Novell ZENworks Asset Management 7.5

SerialMailer Manual. For SerialMailer 7.2. Copyright Falko Axmann. All rights reserved.

ENHANCE. The Style Sheet Tool for Microsoft Dynamics NAV. Microsoft Dynamics NAV 5.0. User s Guide

Acclipse Web Manager Emarketing. Create newsletter

The Purchasing Wizard

Tutorial #7A: LC Segmentation with Ratings-based Conjoint Data

How To Use Optimum Control EDI Import. EDI Invoice Import. EDI Supplier Setup General Set up

Turn editing on and under Add an Activity use the drop down list and click on Questionnaire.

How to Change Your Schedule for Holidays

Accounts Receivable: Importing Remittance Data

Downloading Driver Files

Transitioning from TurningPoint 5 to TurningPoint Cloud - NO LMS 1

Composite.Community.Newsletter - User Guide

Transcription:

How do I create a Peachtree (Sage 50) Payroll export file? Steps to complete prior to running the payroll export in HBS: In Peachtree: Prior to setting up the Peachtree (Sage 50) Payroll export, you will need to know which Inventory Item is being used for payroll. If one has not been set up yet, the client will need to create a new inventory Item defined with an Item Class of Activity. For our example, this inventory Item will be referred to as PAYROLL. Further information on inventory item setup, as well as all other setup procedures can be found in Peachtree s help. Once inventory item setup is complete in Peachtree, an import template should be defined to conform to HBS export file. The template can be created by opening Peachtree and then selecting File> Select Import/Export >Time/Expense>Time Ticket Register and then clicking the Import button.

Once the template screen is loaded, save to a name that easily identifies the new template as HBS Payroll Import. In this example, the template is named HBS Payroll Import, with an accompanying description. Once it is saved, the columns can be selected and ordered for use with HBS. It is important that both the selected Show columns and Col # match the examples below. Uncheck Make sure fields and Col # match this example

Uncheck Make sure fields and Col # match this example Uncheck Once fields are setup, select the Options tab.

Make sure this option is selected It is important that the First Row Contains Headings is checked. For the Import/Export File, the name will most likely change with each payroll run. Note: It is highly recommended that the files are named in such a manner that they are easy to locate if they are needed for auditing or troubleshooting. Once the template matches the example above, choose SAVE. If prompted to overwrite the existing report, choose Yes. This is will save the template in the Time Ticket register Import list for future use. Note: It is not necessary to resave the template when choosing a new file to process. It is only required when making changes to the columns list and the Include Headers option. Peachtree is now setup to import a payroll file generated by the HBS system. The next section covers setting up the HBS system for Peachtree export. In HBS: Pay Rates Setup- In order to properly interface to any payroll software, pay rates should be setup within HBS. There are three (3) areas within the HBS system to setup pay rates the Employee, Charge and Pay

Rate type all have areas in which to enter rates. o Pay Rate Type: Go to File>File Maintenance>Category>Type=Pay Rate Type and add your agency s pay rate types. Note: Normally no rates are entered on Rates tab. Example: o Employee Rate: Go to Entity>Employee Type>Pay-Rate tab: o Charge Code Pay-Rates: Go to File>File Maintenance>Charge Code. Select a charge and go to the Pay-Rate tab to add rates. Seldom used as most agencies prefer to enter rates under the Employee. In Charge Entry a pay rate can be linked to a charge (if interfacing with clinical software the pay rate should be entered in the clinical software):

Note: Only visits that have a pay rate entered will export. The Charge Detail List report can be run with the Margin Report option to check payroll information attached to the charges. It can also be run using the No Pay-Rate Subset Selection prior to running the export to check if charges are missing pay rates. HBS Peachtree Export File Creation: Go to File>Import/Export menu. 1. Select Export Exporoll 2. Select Payroll 3.Enter Payroll Inventory Item from PeachTree PeachTree 4. Select PeachTree Perform the following steps: 1. Select Export from Import/Export radio group.

2. Select Payroll from File radio group. 3. Enter the Peachtree Inventory Item code in the Company box 4. Select Peachtree from the Export Type drop down box. 5. Select additional criteria (date range, additional options, unit selection) Once this screen is filled out, select the Properties tab, It is critical that the selected fields are in the exact order as shown in this example Note: Under Import/Export Visit Time can be replaced by Total Time if you want to export direct visit time and visit related time. Perform the following steps: Select Comma from File Type radio group.

Enter the location of the output file. Peachtree only allows selection of.csv file extension. The export program defaults to.txt so the user will have to manually change the extension in the location box. Make sure Header box is empty. Fill the Import/Export Field Selection list with the fields shown, in the exact order as shown. Once this screen is setup, change back to the Selection tab and click the Start button. Once the export has completed, the client is ready to import into Peachtree: The user will need to open Peachtree and select File> Select Import/Export >Time/Expense>Time Ticket Register and then select the template created above (HBS Payroll Export in this example). Once selected, the Import button needs to be clicked. This will open the template up. Most likely, the only change needed is to select the file location on the Options tab. Once the file is selected, clicking the OK button will perform the import. The import can be verified by choosing Employees & Payroll and then selecting View and Edit Time Tickets from the Time & Expense Tickets submenu: Employees & Payroll Tab Time and Expense Tickets. Click arrow in lower right corner to open submenu. Select View and edit time tickets This is what the imported ticket report looks like:

It can be filtered by date, or employee code among other data.