Once a user has created and updated the necessary records for a particular transaction source (for example, refund payments or product cost detail records) a member of the Accounting department opens or creates a view of the specified service and runs the AP Export wizard to generate the file(s) that can be exported to the third-party Accounts Payable (AP) system.

For integration with Microsoft Dynamics GP (Great Plains), which is included with Aptify, the AP Export wizard creates two export files based on a view: a Vendors file that contains the details of the payees (such as name and address) and a Transactions file that contains the amount of each refund/cost and the corresponding record ID.

The steps to run the wizard are broken down by interface:



Starting with Aptify 5.5.5, running the AP Export wizard is supported in the web interface.

Web Interface

  1. Create or open a view of the service that contains records that need to be processed in the AP system.
  2. In the view, click the More drop-down list box, and select the AP Export Wizard option to launch the wizard. 

  3. Review the information on the Welcome screen and click Next to continue.
  4. Review the list of transactions that will be included in the export and click Next to continue.
  5. Click Finish to close the wizard.

Desktop Client

  1. Create or open a view of the service that contains records that need to be process in the AP system.
  2. Click the AP Export Wizard icon in the view toolbar to launch the wizard. 

    Launching the AP Export Wizard
     
  3. Review the information on the Welcome screen and click Next to continue.
  4. Review the list of transactions that will be included in the export and click Next to continue.
  5. Specify the location for the export files in the Export File Path field.
  6. Click Next to continue.
  7. Click OK when prompted that the export operation is complete.