MYOB AccountRight Online Financial Export
Send the Financial Export to MYOB AccountRight Online from RMS.
The Financial Export sends a file containing all ledger movements for the selected date to the connected MYOB AccountRight Company File.
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Information
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Use
- Add Button
Information
The Financial Export sends a file containing all ledger movements for the selected date to the connected MYOB AccountRight Company File.
The Financial Export includes all transaction information on the selected Accounting Date for the mapped General Ledger Account Codes.
MYOB Accountright Online is accounting software that can be connected to RMS for both Cash & Accrual Accounting properties.
The interface to MYOB AccountRight Online enables properties to map their General Ledger Account Codes to ledger movements and payments and export this financial information directly into the accounting software from RMS.
MYOB AccountRight Online can be setup as a Night Audit Interface to automate financial exports when using the Night Audit Utility.
Users will require Security Profile access to use this feature.
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Use
- Add Button
Use
- Go to Utilities > Financial Interface in RMS.
- Select the Property.
- Select the Accounting Date.
- Build.
MYOB AccountRight Online can be setup as a Night Audit Interface to automate financial exports when using the Night Audit Utility.
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Guide
- Add Button
Guide
Go to Utilities > Financial Interface in RMS.
Select the Property.
Select the Accounting Date.
Select 'Build' to send the financial export to MYOB.
The Financial Export includes all transaction information on the selected Accounting Date for the mapped General Ledger Account Codes.
Use
- Go to Utilities > Financial Interface in RMS.
- Select the Property.
- Select the Accounting Date.
- Build.
MYOB AccountRight Online can be setup as a Night Audit Interface to automate financial exports when using the Night Audit Utility.
-
Guide
- Add Button
Guide
Go to Utilities > Financial Interface in RMS.
Select the Property.
Select the Accounting Date.
Select 'Build' to send the financial export to MYOB.
The Financial Export includes all transaction information on the selected Accounting Date for the mapped General Ledger Account Codes.