Knowledge Base

Generate Batches of Accounting Export Files

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Allows multiple batches to be created by day and/or store for a range of dates. The process will extract the transactions, validate the transactions and optionally export the batch.

Use the Generate Batch button inside each type of accounting export

Select the date range, then pick options such as separate batch for each day, separate by store and location to export all of the batch files.  Click GENERATE BATCH to run the process. 

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