Export format: Bills to Peachtree/Sage 50
Peachtree / Sage 50 requires a specific format when importing bills.
Export bills from Cashflow360
Export bills from Cashflow360 with the following profile mapping:
- Select Settings
- Select Import / Export under Import / Export
- Select Export next to Bills
- Select Modify next to Export Profile
- Reorder the Headers into the following order by selecting the arrows next to each header
- Vendor Id
- Invoice #
- Invoice Date
- Due Date
- Bill Line Item Order
- Bill Line Item Description
- Bill Line Item Account Number
- Bill Line Item Amount
- Remove any headers not listed by unselecting the checkbox for that header
- Assign a profile name; we'll save this profile mapping for you so you just have to select it the next time you need to export bills
- Select Continue
Format the file
Follow these steps as a guide to format the file for import into Peachtree / Sage 50:
- Between Due Date and Total Line Items, insert a new column
- For each field in this new column, enter the Account Number of the AP account
- If using more than one AP account, enter the correct AP account number for each row
- Remove the first row (header row) from the file
- In Peachtree / Sage 50, navigate to File > Select Import/Export
- Select Accounts Payable
- Select Purchases Journal
- Select Import
- In the Fields tab of the Import window, select Show for only the following fields (deselect "Show" for all other fields):
- Vendor ID
- Invoice/CM #
- Date
- Date Due
- Accounts Payable Account
- Number of Distributions
- Description
- G/L Account
- Amount
- In the Options tab, confirm that First Row Contains Headings is deselected
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