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Configure Idealpos for Attaché File-based

Before you can use accounting or send files to Attaché, you need to configure Idealpos.

 

Account Codes

Go to Setup > Global Options > Accounting > Connection > Accounting Package > Attaché (ProSys Consultants).

 

 

Enter the Account Codes and other settings as required.

 

Note!

Within the setup in Global Options you can configure a time each day for the End Period to be automatically performed.

This is great when an Admin person is not going to be present each day of the week to roll the End Sales Period if the venue would like the figures to be sent to the accounting system daily.

Set the time in 24hr format & the POS # that will perform this task.

 

Supplier Invoices

If you want to export supplier invoices to Attaché, you will need to mark each supplier as being sent to accounting. Go to File > Suppliers > Suppliers > Add/Modify > Accounting: Tick.