Third-party accounting (import) dialog

The Dillner's FCAS (Import), Client Ledger System (Import), CaseWare Working Papers (Import), Accountant's Relief (Import), Accounting for Practitioners (Import), and Universal Business Computing Company (Import) dialogs are identical.
With a client's return open, choose Utilities then Third Party, and then choose the appropriate import dialog.
Dillner's FCAS
Client Ledger System
CaseWare Working Papers
Accountant's Relief
Universal Business Computing Company
Accounting for Practitioners
ProSystem Fx Engagement
1040
X
-
-
X
X
X
X
1120
X
X
X
X
X
X
X
1065
X
X
X
X
X
X
X
990
X
-
X
-
-
-
X
The import options are available only after you open or add the UltraTax CS client that will receive the imported data, and if you have specified the correct data path for your accounting data. To specify the data path, choose Setup, User Preferences, File Locations, then Other, select the applicable application, select the Modify Location button, and then browse to the location of your accounting data. After you have specified the data location, you will be able to select the appropriate application when you choose Utilities then Third Party.

Fields & buttons

Depending on the command you use to open this dialog, UltraTax CS lists all Dillner's FCAS, Client Ledger System, CaseWare Working Papers, Accountant's Relief, Accounting for Practitioners, ProSystem fx Engagement,& or Universal Business Computing Company clients who are of the same entity type as the open UltraTax CS client. Select the client whose data you want to import into the open UltraTax CS client, then select the Import button.
This field displays the drive and path where UltraTax CS looks for Dillner's FCAS, Client Ledger System, CaseWare Working Papers, Accountant's Relief, Accounting for Practitioners, ProSystem fx Engagement,& or Universal Business Computing Company client data.
Select this button to open the Modify Location dialog in which you can change the drive and/or path where UltraTax CS looks for your Dillner's FCAS, Client Ledger System, CaseWare Working Papers, Accountant's Relief, Accounting for Practitioners, ProSystem fx Engagement,& or Universal Business Computing Company client data.
The
Summary
and
Detail
options apply to those accounts which import into a statement dialog in UltraTax CS. Select one of these two options as follows.
  • Select the
    Summary
    option have UltraTax CS total all items assigned to the same tax code and display that total in one line on the statement. The name of the first account imported with the assigned tax code is used by UltraTax CS as the description of the imported amount on the statement.
  • Select the
    Detail
    option to have UltraTax CS import each account (that is assigned to a single tax code) as a separate item on the statement dialog, so each amount is displayed in a separate line. The statement dialog includes a total of each account included in that statement.
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