Accountant’s Assistant Overview
6
Accountant’s Assistant Handbook
After importing data from the accountant’s
transfer file that you
created, your client can begin processing transactions in CBS. At the
end of each processing period, the client will create an export file of
the company’s transactions to send to you. You use Accountant’s
Assistant to retrieve the information from the client’s
export file so
you can review and edit the transactions before transferring them to
CSA.
Note: The client can export data from CBS CheckWriter, CBS
Accounts Payable, and CBS Accounts Receivable at any interval you
specify. However,
CBS PayCheck
™
data must be exported on a
monthly basis.
Regardless of how many of your clients are using CBS, you need
only a single installation of Accountant’s Assistant.
Use Accountant’s Assistant to select CSA information to generate
and create an accountant’s transfer file
to send the information to
your client. You can transmit the information for the accountant’s
transfer file on a form of removable media, attached to an email
message, or transmitted via private portal on a web page if running
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