WhatsApp
+6016 450 2380
-
Worldwide Support (GMT +8)
Mon - Sat: 9.00am - 6.00pm
Sun: 2.00pm - 6.00pm
SQL Accounting Software
Export from POS to SQL Accounting Software
SQL Accounting Software is designed to support applications that deliver business critical accounting system functionality to large deployment of network environment. It is build and optimized for mission-specific application. At the core SQL Business Suite lies a robust Client-Server architecture that allows it to deliver significant advantages in flexibility, reliability, performance and stability.
Self-tuning features include cost-based query optimization and dynamic re-balancing of reports structures enhance performance and provides a wide range of business reports. More important, SQL Accounting Software is an open period solution that enables you to collect more data over a wider time frame for better decision-base analysis.
SQL Accounting Software are fully compatible with BMO POS System & XpressWaiter.
Our Support team are proficient in not just software but hardware support as well.
Our Support team are proficient in not just software but hardware support as well.
Find out how SQL Accounting Software works easily with our POS system!
SQL Accounting provides many invoice and many printing format. All you need is to download the SQL Excel template via the link provided.
Export the inventory list from our POS Market POS System and paste it directly to the sheet titled StockGroup. Make sure the stated columns are filled up, namely:
- Sales
- Sales Returned
- CashSales
- Purchase
- CashPurchase
- Purchase Return
- Costing Method
Copy the relevant data from the exported Inventory List from POS System. After which you should export the Contact List from POS System. Copy the relevant data from the exported Contact List under the Customer & Supplier Master sheet. Import the data to SQL via SourceField into MappedField and select Post to A/C.
Export receipt List from POS Market POS System after which you can Import the receipt List to SQL. Under the RPT folder in BMO, select all the exported receipt list, select Send To and select Compressed (zipped) folder. In SQL Accounting Text & XML Import, select Sales in Invoice, Get File and then locate the zipped RPT file, click Open, select Verify and select Post to A/C.
SQL Accounting XLS and MDB Import – Steps
Item List
Under the sheet “StockList” from the SQL template, copy the relevant data from exported Inventory List from BMO into it.
Category List
From the exported CSV file,select one of each category and paste them into the template downloaded, sheet name “Stock Group”.
Also fill up the column “Sales”, “Sales Returned”, “CashSales”, “Purchase”, “CashPurchase”, “Purchase Return”, “Costing Method”.
Contact List
To export Contact List from BMO, go to Contact > Contact List > select all contact > Export
Under the sheet “Customer&Supplier Master” from the SQL template, copy the relevant data from the exported Contact List from BMO into it.
Import to SQL – Category
Launch SQL XLS n MDB Import.
Select Stock > Maintain Stock Group
On far right, select “Get File”.
Select the saved XLS file, and click Open.
Import to SQL – Category
- Select “StockGroup” from the drop down, and click “Get Data”
- Select the relevant data from “SourceField” to “MappedField”
- Then select “Post To A/C” when the process is done.
Import to SQL – Item List
- Select Stock > Maintain Stock Item
- On far right, select “Get File”.
- Select the saved XLS file, and click Open.
- Select “StockList” from the drop down, and click “Get Data”
- Select the relevant data from “SourceField” to “MappedField”
- Then select “Post To A/C” when the process is done.
Import to SQL – Contact List
- Select Customer > 1. Maintain Customer
- On far right, select “Get File”.
- Select the saved XLS file, and click Open.
- Select the relevant data from “SourceField” to “MappedField”
- Then select “Post To A/C” when the process is done.
Export Receipt List from BMO
- Select Accounting > Post > SQL Accounting
- Select “Get Data”, then “Export XML”, and “Save”
** Test Post must uncheck
** Exported reports will be saved in BMO folder, under RPT
Import Receipt List TO SQL
- In the BMO folder, under RPT folder, select all the exported receipt list, right click them, select “Send to”, and select “Compressed (zipped) folder”.
- In SQL Accounting Text & XML Import, select Sales > Invoice.
- Select “Get File”, then locate the zipped RPT file, click Open.
- Select “Verify”, then select “Post To A/c”
** Must change file format to “XML Files(*.zip)”
SQL FINANCIAL ACCOUNTING MODULES | PRICE |
---|---|
GL (General Ledger), Customer (AR), Supplier (AP)
Additional Features
| SGD 536 |
SQL ACCOUNTING SOFTWARE FINANCIAL MODULES | PRICE |
---|---|
On-site Training One time session on-site training (2 hours), software deployment & implementation | From SGD 72 FREE with POS System Bundle purchase |
Upgrade (PRO PACKAGE) Foreign currency, partial delivery, multi-doc number, multiple pricing | From SGD 143 |
SQL Inventory Features & reports essential to your store inventory
| SGD 429 |
Support & Maintenance
* Fair use policy apply, inclusive of program updates | From SGD 250 |
Network Client Access License (Concurrent Users)
| +SGD 250/ user |