They have about 15,000 batches to date and I need to start from December to April for all the transaction. Am planning moving their data offsite and hire about 5 guys to help reload the batches into a fresh databse. Pls advice.
My client trail balance out of balance by a huge figure.
A guy wrote a sript in sql to redinominate all their financial figures by 10,000. The trail balance at the time rported out of balance by 0.02, this was as result of a national redinomination of the Currency in the country in 2007...
1)WE WERE RUNNING ACCPAC ON PERVASIVE BECUASE CASHBOOK DID NOT SUPPORT PERVASIVE WE WERRE RUNNING IT ON IT DEFUALT ACCES DATABASE.
AFTER WE MIGRATED TO SQL I KEPT THE CASHBOOK DATABASE FROM ACCPAC DATABASE I.E CASHBOOK RH1CBD,RH1CBS AND ACCPAC IS RH1DAT, RH1SYS.
WE'VE TO NOW UPGRADED 5.3 TO...
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