You can import client data from QuickBooks, including bank accounts, employee information, and payroll items.
You'll find different options in the Client Data Import Wizard based on the source application options you select in the Import Client Data - Options window.
The import lets you map client data from the source company to existing data or fields in
Accounting CS
.
Before you begin
You need to install QuickBooks Pro, Premier (including Accountant's edition), or Enterprise edition on the machine where you'll complete the import.
Accounting CS
supports the current version and 2 prior-year versions of these applications.
Accounting CS
only supports the
.QBW
file type or export file created by the CS QuickBooks Data Utility from a
.QBW
file.
The QuickBooks data file needs to be in single-user mode to import the data into
Accounting CS
. When the file is in multi-user mode, QuickBooks makes copies of the file so that other people can work with the data, and
Accounting CS
can't access the files.
The company database needs to be open in QuickBooks during the import process. The original data file doesn't change in any way during the import process.
If you'll import payroll data, the QuickBooks company needs to have an active QuickBooks payroll subscription. To determine whether a payroll subscription is active:
Open the company in QuickBooks, then select
Payroll Center
from the
Employees
menu.
Your payroll subscription status will display in green if active, or in red if inactive.
When
Accounting CS
imports transactions, it doesn’t include balances for transactions that were posted before the selected date range. For example, you'll need to enter balances manually in the following situations.
Importing data for an entire year
If you import an entire year's worth of transactions, you need to enter the beginning balances for the client. Create a journal in the
Actions
, then
Enter Transactions
screen or import the balances through a spreadsheet (unless the balances already exist for the client).
Importing data for part of a year
If you import data for only the 2nd half of a year, you need to import beginning balances from a spreadsheet, and manually enter year-to-date balances for the 1st half of the year.
To import data into a prior year, use the
Period End Dates
window to add the correct prior years to the client record.
When importing payroll checks with employee data, the payroll information includes only the total check amounts, not the number of hours worked.
You can import setup information for the
Accounting CS
client. For example, if the chart of accounts doesn’t exist in the application for the current client, you can import the chart of accounts, and select
Add as is
for each account to have the application automatically add the account number for the client.
You'll have the chance to view, set up, and update the mapping of QuickBooks data to
Accounting CS
data during the import process only. After the import is complete, you won’t be able to change the mapping.
If you aren't able to open QuickBooks during this import procedure (for example, if you're running
Accounting CS
in Virtual Office CS or another terminal server environment), you or your client can use the CS QuickBooks Data Utility to create an export file.
Specify import options
Before you import client data into
Accounting CS
, you can specify QuickBooks as the application from which to import client data and also specify the types of data to exclude from the import.
If you import payroll information for the client, you need to enable the
Payroll (After-the-fact) service
in the Add/Remove Services window.
Select
Setup
,
Clients
, then select the
Integration
tab.
Select the client from the client list, then select
Edit
.
Select QuickBooks from the Import source dropdown list, then select the ellipsis.
Select your options in the
Import Client Data - Options
window.
Select
OK
to return to the Clients screen.
Import QuickBooks client data
Take the following steps to import client data using the Import Client Data wizard.
If you run
Accounting CS
on a computer running the Windows 10 (or later) operating system, on which the User Account Control feature is enabled, open QuickBooks, but don't open the client database yet.
In
Accounting CS
, select
File
,
Import
, then select
Client Data
.
In the Source Data page, select
QuickBooks
as the source.
Go to the file location, then select either the QuickBooks company file or the file created by the CS QuickBooks Data Utility.
If you run
Accounting CS
on a computer running the Windows 10 (or later) operating system, and the User Account Control feature is enabled, return to QuickBooks and open the client database that you want to import. Return to
Accounting CS
, then select
Next
.
Map the following import items to the proper items in
Accounting CS
. If you select the
Skip data mapping screens
checkbox, the application will automatically use the default mapping in the data-entry screens.
Bank accounts.
For each QuickBooks bank account, select the corresponding
Accounting CS
bank account, or select
Add as is
if the bank account doesn't exist. You'll need to map QuickBooks bank accounts to unique cash accounts in
Accounting CS
. You don't need to map the other QuickBooks account types to unique accounts.
note
If this isn't the 1st time you've imported, and you receive the message “Each bank account in Accounting CS must have a unique GL account number”, you'll need to close the wizard and then update the QuickBooks bank account descriptions to match the descriptions that are in Accounting CS. If the descriptions match, clear the
Inactive
checkbox for the account in
Accounting CS
.
Chart of accounts.
For each QuickBooks account that you want to import, select the corresponding
Accounting CS
account, or select
Add as is
if the account doesn't exist. For each account that you don't want to import, select
Do not import
.
QuickBooks classes.
For each QuickBooks class that you want to import, select the corresponding
Accounting CS
account segment, or select
Add as is
if the segment doesn't exist. For each class that you don’t want to import, select
Do not import
.
Employees.
For each QuickBooks employee record that you want to import, select the corresponding
Accounting CS
employee record, or select
Add as is
if the employee record doesn't exist. For each employee record that you don't want to import, select
Do not import
.
Address mapping.
This screen lists all employees with an incomplete or incorrect address in QuickBooks import data. The application won’t import earnings information for any employee with an invalid address. Therefore, you need to address each one.
In the
Lookup
field, enter the employee's city and state combination or their ZIP Code, then select
Location
.
If the application finds more than 1 possible result for any of the address fields, it lists all options in the dropdown lists for those fields. Select the proper information, then select
Update
. When the employee's address is valid, the application marks the checkbox in the Valid column.
Taxes.
For each QuickBooks tax, select the proper
Accounting CS
tax, or select
Add to create
the tax in
Accounting CS
. All QuickBooks taxes need to have a corresponding
Accounting CS
tax, and all QuickBooks state unemployment insurance items need to include “unemployment company” in the description.
Jurisdictions.
This screen opens only when you select
Add
for any of the QuickBooks taxes in the previous import screen (Taxes).
Enter the proper jurisdiction information for the new tax. For each tax listed, select the tax in the grid, enter the jurisdiction's city and state combination or its ZIP Code, and then select the
Location
button.
If the application finds more than one possible result for any of the fields, it lists all options in the dropdown lists for those fields. Select the proper jurisdiction information, select the proper
Accounting CS
description, then select
Update
.
Vendors.
For each QuickBooks vendor record that you want to import, select the corresponding
Accounting CS
vendor record, or select
Add as is
if the vendor record doesn't exist. For each vendor record that you don’t want to import, select
Do not import
.
Payroll items.
For each QuickBooks payroll item that you want to import, select the corresponding Accounting CS payroll item, or select
Add as is
if the item doesn't exist. For each payroll item that you don't want to import, select
Do not import
.
After you finish mapping the QuickBooks data, the application displays the
Data Analysis
screen, which gives you the chance to print and/or preview diagnostic reports about the data that will be imported. Review the diagnostic reports and correct any information as needed. The application doesn't actually transfer the data to
Accounting CS
until you select
Finish
.
Check any errors encountered during the import that are listed on the completion screen of the Import Client Data wizard. Print them and if necessary, take the proper actions to correct any exceptions or failures.