Timeslips 2010 Export Information
When converting
from Timeslips 2010, perform the following steps, then click the Return to Procedures link to return to the main Timeslips Conversion Instructions.
2. Generate the Client Export file from within Timeslips.
- From the menu options at the top of the Timeslips window,
select Reports, then Client.
- Double-click "User Defined Client Listing" in the "Name" list in
the Report List window. The Report
Entry window will be displayed.
- Click the Selection Filters tab.
- If there are any items listed under Field Name, select each item and
click the < button until there are no items remaining.
- Make sure to select "Client" in the Filter Groups drop-down
list.
- Select "Client Nickname 1" in the list box.
- Click the > button.
- The Filter for Client Nickname 1 dialog box will be displayed.
- Select "Any text" in the Condition drop-down box.
- Click OK.
- If you use client template
classifications in Timeslips to apply default settings to new name
records and would like to exclude these from your client export, do the
following steps. Otherwise skip the following four steps and go to step 4.
- Select "Client
Classification" in the list box.
- Click the > button.
- The filter for Client
Classification dialog box will be displayed.
- Clear the "Template"
option and click OK.
- Click on the Sort and Subtotal tab.
- If there are any items listed under Sort Name, select each item and
click the < button until there are no items remaining.
- Make sure to select "Client" in the
Sort Groups drop-down
list.
- Select "Client Nickname 1".
- Click the > button.
- Make sure the Order column is set to "Ascending".
- Click the Options button.
- Make sure that "Page break on primary sort" is cleared.
- Make sure that "Show selection criteria" is cleared.
- The messages "Release slips marked hold", "Ignore the effects of
client hold" and "Ignore auto payments and discounts in totals" have
no effect on the data exported for conversion. However, we are
unsure if these will affect your Timeslips data. Please check the
Timeslips Help for more information on these options.
- Click OK.
- Click the "Design Report" button
.
- Make sure that you are on the "Design" tab and not the "Preview" tab
of the Print Preview window.
- Click on "Layout | Import from File..."
- A file look-up window will open.
- Change the "Look in" field to the directory where
Timeslips
is installed.
- Make sure that "Files of type" is set to "Designer Files(*.rpt)"
- If you do not plan to convert custom fields, select the "CLIENTA.RPT"
file. If you do plan to convert custom fields (see the "Timeslips
Custom Fields" section for more information about custom fields),
select the "CLIENTB.RPT" file.
- Click Open.
- If you are prompted with an "Import Layout" window with the message "You are
about to import a saved layout style over your current layout style.
By importing this file, the position of the layout fields will
reflect the layout you import, but this will not impact the options
or formatting of these fields. Do you want to proceed?", click
Yes.
- If you selected the "CLIENTB.RPT" file, do the following
steps. Otherwise, skip to step e.
- Select the "Client Details" option from the Go to section
drop-down list.
- Right-click the next to last
column in the "Client Details" section (i.e. Column 23 which
is
"OPEN") and select
"Format...". This will open a window labeled "Format for
OPENED".
- In the Custom field drop-down list, select "Inception Date" (or
the name of the custom field as defined in the Timeslips Custom
Fields section).
- Make sure that "Date" is set to "Short Control Panel format" and
click OK.
- Select the "Client Details" option from the Go to section
drop-down list.
- Press Ctrl + Shift + O; this will open the
"Layout Options for Reports" window. (This window can also be
accessed by selecting Section | Options... with the Client
Details row selected).
- On the Column Format tab, make sure the "Keep if Empty" check box is selected for all
columns.
- Click OK to close the "Layout Options for Reports" window.
- To import clients without their Accounts Receivable balance,
please do the following steps. Otherwise skip to step 8.
- Select the "Client Details" option from the Go to section
drop-down list.
- Right-click on the "0.00" in each of the following columns from the Client
Details section and select "Delete".
Note: The "0.00" will be the top box of the boxes shown in the
layout. You may have to scroll to the right or maximize your window in
order to see all the columns.
| Column #
|
Column Name
|
| 16
|
Current Period w/Unapplied
Payments
|
| 17
|
Period 1 Total
|
| 18
|
Period 2 Total
|
| 19
|
Period 3 Total
|
| 20
|
Period 4 Total
|
| 21
|
Total Balance
|
- Select Layout | Save or press Ctrl + S to save the report definition.
Note: If you use the CLIENTB.RPT template and choose to not convert Accounts Receivable balances,
you may get unexpected results for your balances. This is because when you delete the 6 balance
columns (i.e.,
columns 16 through 21) in Timeslips, even if you have the "keep if
empty" check box checked on all 6 columns in the "Layout Options for Reports",
it doesn't include these 6 columns in the CSV file. This causes TSCONV to see the two custom fields as columns 16 and 17
instead of column 22 and 23. To fix this, you must open the client
export in Excel or some other CSV/spreadsheet program and manually add
six
blank columns between column 15 and 16 to end up with 23 total columns.
After doing this, columns 16 through 21 will represent the 6 blank balance columns and columns
22 and 23 will represent the two custom fields.
- Close the Print Preview window. When prompted to save the report click
"Yes".
- Select the "CSV file (comma separated)" option from the Print to drop-down
list.
- Click the Print button. The "Save As" window will be displayed.
- In the Save in field, select the directory that Tabs3 is
installed to.
- Enter either "CLIENTA.TXT" (if you are using the CLIENTA template)
or "CLIENTB.TXT" (if you are using the CLIENTB template) in the
File
Name field.
- Make sure "Comma Separated Files" is selected in the Save as
type: field.
- Make sure Export Column Titles check box is cleared.
- Make sure the Use Control Panel's Regional Settings formatting
check box is cleared.
- Set the Date Format field to "MM/DD/YYYY".
- Set the Time Format field to "AM/PM".
- Set the Duration Format field to "Default".
- Set the Boolean Format field to "0/1".
- Click Save. The client data will be exported.
- Close the Report Entry window. Click Yes if the message "Would
you like to save the settings for this report?" is displayed.
3. Generate the Work-in-Process Export file from within Timeslips.
- Make note of whether or not you have an Ending Date field
for slips in Timeslips. To check whether you have ending dates on slips
or not:
- From the Timeslips menu, select Setup and
click on Features enabled...
- Set the Group option to "Transactions."
- Note if the End Date field on slips option is set
to"Enabled" or "Disabled."
- Close the Features Enabled window.
- From the menu options at the top of the Timeslips window,
select Reports, then Slips.
- Double-click "User Defined Slip Listing" from the "Name" list in the
Report List window.
The Report Entry window will be
displayed.
- Click the Filters tab.
- If there are any items listed under Field Name, select each item and
click the < button until there are no items remaining.
- Make sure to select "Slip" in the
Filter Groups drop-down list.
- Select "Slip Billed" in the list box.
- Click the > button.
- The "Filter for Slip Billed" dialog box will be displayed.
- Select the No option.
- Click OK.
- Click the Sort tab.
- If there are any items listed under Sort Name, select each item and
click the < button until there are no items remaining.
- Make sure to select "Client" in the Sort Groups drop-down
list in the Available sort keys group.
- Select "Client Nickname 1".
- Click the > button.
- Make sure the Order column is set to "Ascending".
- Make sure the Subtotal column is set to "No".
- Click the Options button.
- Make sure "Apply client rounding" check box under Report Options is
cleared.
- Make sure that the "Page break on primary sort" check box under
Report Formats is cleared.
- Make sure that the "Show selection criteria" check box under Report
Formats is cleared.
- Click OK.
- Click the "Design Report" button
.
- Make sure that you are on the "Design" tab and not the "Preview" tab
of the Print Preview window.
- Click on "Layout | Import from File...".
- A file look-up window will open.
- Change the "Look in" field to the directory where Timeslips
is installed.
- Make sure that "Files of type" is set to "Designer files
(*.rpt)".
- Select the "WIP.RPT" file and click Open.
- If you are prompted with an "Import Layout" window with the message "You are
about to import a saved layout style over your current layout style.
By importing this file, the position of the layout fields will
reflect the layout you import, but this will not impact the options
or formatting of these fields. Do you want to proceed?", click
Yes.
- If the End Date field on slips option (from step 1) is
set to "Disabled", complete the following steps, otherwise skip to
step e.
- In the Go to section field, select "Slip
Details."
- Right-click the top field of the fourth column. This column
should contain today's date. From the shortcut menu that is
displayed, select Delete.
- From the Timeslips menu, select View, point to
Toolbars, and verify the Field List Toolbar option is
selected. If not, click Field List Toolbar to select this
option.
- From the Field List Toolbar, change the Field Group
option to "Slip."
- From the Field list, drag the "Transaction Date" ("Date" prior to Timeslips 2008) field to the top of the
fourth column in the "Slip Details" section.
- Close the "Print Preview" window and click Yes if the message "Do you want to save changes you
made to this report?" is displayed.
- Select the "CSV file (comma separated)" option from the Print to drop-down
list.
- Click the Print button. The "Save As" window will be displayed.
- In the Save in field, select the directory that Tabs3 is
installed to.
- In the File name: field, enter "WIP.TXT".
- Make sure the Save as type: field is set to "Comma Separated
Files".
- Make sure the Export Column Titles check box is cleared.
- Make sure the Use Control Panel’s Regional Settings formatting
check box is cleared.
- Set the Date Format field to "MM/DD/YYYY".
- Set the Time Format field to "AM/PM".
- Set the Duration Format field to "Default".
- Set the Boolean Format field to "0/1".
- Click Save. The work-in-process will be exported.
- Click No if asked, "Do you want to mark the slips as
exported?".
- Close the Report Entry window and click Yes if prompted to save the settings for this report.
Return to Procedures
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