Home / AP4.0 User Manual – Table of Contents / AP4.0 User Manual – 12. Appendices / AP4.0 User Manual – 12.6 Appendices F Instructions on Using Ledger Extraction Tools

Audit Program 4.0 - User Manual

Appendices

Appendices F Series - Instructions on Using Ledger Extraction Tools

Appendix F1:

MYOB Extraction Tool:

ABSS / MYOB
  1. Export the Detailed Trial Balance from ABSS / MYOB
  2. Rename the exported Excel workbook as “Ledgers.xlsx”
  3. Place the renamed workbook in the same file path / folder as this “Extraction Tool” file
  4. Click the button “Extract Ledgers”
  5. The extracted ledgers for each worksheet in “Ledger.xlsx” will be saved as a new excel file in the folder “Extracted Ledgers”
  6. Copy all files in “Extracted Ledgers” and move them to the folder named “Ledger” in the client’s folder that you are working on.

Appendix F2:

PeachTree Extraction Tool:

PeachTree
  1. Export the Ledger from PeachTree
  2. Rename the exported Excel workbook as “Ledgers.xlsx”
  3. Place the renamed workbook in the same file path / folder as this “Extraction Tool” file
  4. Click the button “Extract Ledgers”
  5. The extracted ledgers for each worksheet in “Ledger.xlsx” will be saved as a new excel file in the folder “Extracted Ledgers”
  6. Copy all files in “Extracted Ledgers” and move them to the folder named “Ledger” in the client’s folder that you are working on.

Appendix F3:

MasterSoft Extraction Tool:

MasterSoft
  1. Export the General Ledger from MasterSoft
  2. Rename the exported Excel workbook as “Ledgers.xlsx”, and Rename the worksheet for General ledger as “General ledger”
  3. Place the renamed workbook in the same file path / folder as this “Extraction Tool” file
  4. Click the button “Extract Ledgers”
  5. The extracted ledgers for each worksheet in “Ledger.xlsx” will be saved as a new excel file in the folder “Extracted Ledgers”
  6. Copy all files in “Extracted Ledgers” and move them to the folder named “Ledger” in the client’s folder that you are working on.

Appendix F4:

KingDee (金蝶) Extraction Tool:

  1. Export the 明细分类账 from KingDee / 金蝶
  2. Rename the exported Excel workbook as “Ledgers.xlsx”
  3. Place the renamed workbook in the same file path / folder as this “Extraction Tool” file
  4. Click the button “Extract Ledgers”
  5. The extracted ledgers for each worksheet in “Ledger.xlsx” will be saved as a new excel file in the folder “Extracted Ledgers”
  6. Copy all files in “Extracted Ledgers” and move them to the folder named “Ledger” in the client’s folder that you are working on.

Appendix F5:

Manager.io Extraction Tool:

Manager.io
  1. Export the Ledger from Manager io
  2. Rename the exported Excel workbook as “Ledgers.xlsx”
  3. Place the renamed workbook in the same file path / folder as this “Extraction Tool” file
  4. Click the button “Extract Ledgers”
  5. The extracted ledgers for each worksheet in “Ledger.xlsx” will be saved as a new excel file in the folder “Extracted Ledgers”
  6. Copy all files in “Extracted Ledgers” and move them to the folder named “Ledger” in the client’s folder that you are working on.

Appendix F6:

Inspur (浪潮) Extraction Tool:

Inspur
  1. Export the 序时账 from 浪潮
  2. Rename the exported Excel workbook as “Ledgers.xls”
  3. Open Ledgers.xls and select only column G (方向), press Ctrl + F and replace all 借 with “Debit”, then save changes
  4. Place the renamed “Ledgers.xls” workbook in the same file path / folder as this “Extraction Tool” file
  5. Click the button “Extract Ledgers”
  6. The extracted ledgers for each account in “Ledgers.xls” will be saved as a new excel file in the folder “Extracted Ledgers”
  7. Copy all files in “Extracted Ledgers” and move them to the folder named “Ledger” in the client’s folder that you are working on.

Appendix F7:

财务云 Extraction Tool:

  1. Export the 序时账 from 财务云
  2. Rename the exported Excel workbook as “Ledgers.xlsx”
  3. Place the renamed “Ledgers.xlsx” workbook in the same file path / folder as this “Extraction Tool” file
  4. Click the button “Extract Ledgers”
  5. The extracted ledgers for each account in “Ledgers.xlsx” will be saved as a new excel file in the folder “Extracted Ledgers”
  6. Copy all files in “Extracted Ledgers” and move them to the folder named “Ledger” in the client’s folder that you are working on.
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