‘Merge’ That makes a complex task even more complex.
Even without that issue, I would make a case for manual data entry. It might be a necessity for you. Of course, I have no idea the magnitude of this task.
There are XML tools that appear to address the financial side of this issue. I don’t have any experience with these; they were not available when we implemented Macola. But you need to specifically address the issue of using this import function to ‘merge’ data. In my 372 version the documentation for the XML tools is misleading and incomplete. So, ‘proceed with caution’ is an understatement. You will need to get additional information from Exact Software.
I strongly recommend reviewing this with your Reseller or Macola Support. You need someone who has used this XML tool; that is not me. I do know that there are additional tools in the reseller channel, the other folks on this board can point you in the right direction, or check the ‘solution finder’ page on Exact’s web site.
I will share with you some of our experiences.
FYI, we are just starting a project to bring a sister company onto Macola. This is a fresh, empty database. I will be managing conversion as a manual data entry task based on the following points:
1. the volume of data is manageable
2. some ‘grooming’ of data is desirable
3. many customer/vendor records can be dropped
4. past experience with data import tools indicate they will only do part of the job.
5. Data entry will serve as part of the training task (repetition works!)
We went live with Macola ES on version 340 in the summer of 2006. At that time there were minimal tools within the application to import data. We did successfully use IM/Bar Code to import our first inventory. If you have the distribution module, that is a viable option for Inventory Quantities.
Our VAR (Harvest Ventures) was able to develop utilities for importing ITEM Codes and Descriptions, AR Customers and AP Vendors records. For AR and AP history we imported account balances only, not transaction history. These values showed up as ‘opening balances’ in our fiscal year.
Although this approach was successful, it left us with a significant housekeeping chore. Maintenance to Vendor & Customer cards, and ongoing work to fix up the Item records put us at a break even point with respect to cost and time. If I were to do it all over again, I would try to make use of the XML tool. But I would also consider the manual data entry as a viable option.