New Articles

  1. Downgrading Your Version of FileMaker

    Steps for removing a newer version of FileMaker Pro and re-installing the previous version.
  2. Step 4 — Creating Beginning Balances

    Explains how to generate a zeroing entry for your accounts, then create a single general journal entry for your beginning balance values.
  3. Step 3 — Reconciling Transactions

    Explains possible sources of discrepancies and how to resolve them.
  4. Step 2 — Migrating Transactions from a Previous System

    Warning : Before you begin this step of entering beginning balances, it is essential that you read this guide in its entirety — you must understand the process before beginning the process.  To ensure that your results will be correct, we als...
  5. Step 1 — Preparing Your Data

    Reviews essential business operations and data, then explains four checks you need to verify in your previous system to ensure your data is ready to migrate to aACE.
  6. Overview of Entering Beginning Balances

    Introduces the purpose of entering beginning balances and lists the steps for accomplishing this effort.
  7. Understanding the FileMaker 'Save as Excel' Button

    Best practices for exporting report data to a spreadsheet.
  8. Setting Up EDI

    Explains steps for preparing your system and setting up your aACE+ EDI integration.
  9. Importing Item Data into a Header Record

    Certain types of transaction data imports do not require importing header records. Instead you can manually create a header record, then import a spreadsheet of item information into that record. For example, you can create a Count-type inventory ...
  10. Onboarding and Testing an EDI Trading Partner

    Best practices for setting up a trading partner for your aACE+ EDI integration