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aACE 6

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  • Glossary
  • aACE Implementation Strategy
    • Introducing the aACE Implementation Process
    • Step 1: Discovery
    • Step 2: Configuration & Customization
    • Step 3: Data Migration
    • Step 4: End-User Training
    • Step 5: Go-Live
    • Step 6: aACE Optimization
    • Step 7: Ongoing Support
    • Obtain a Free Trial of FileMaker 2024
    • Best Practices for an aACE Upgrade
  • aACE System Overview
    • System Overview
      • System Overview - Read Me First
      • Accessing Internal Modules
      • Accessing CRM & Sales Modules
      • Accessing Order Management Modules
      • Accessing Order Setup Modules
      • Accessing Accounts Payable Modules
      • Accessing Accounts Receivable Modules
      • Accessing Inventory Modules
      • Accessing Accounting Modules
      • Accessing System Admin Modules
    • Getting Started with aACE
      • Getting Started - Read Me First
      • Overview of the Main Menu
      • Overview of the List View
      • Overview of the Detail View
      • Overview of Record Status Levels
      • Overview of Selectors
    • Universal Functions
      • aACE Key Commands
      • Working with Documents
      • Exporting Records
      • Email
        • Overview of Emails
        • Email Integration Feature Highlight
        • Core Email Functionality
        • aACE+Mailgun Email Advanced Functionality
        • aACE Data Interchange (ADI) Email Functionality
        • Working with Email Templates
      • Notes and Record Log Comments
        • Overview of Notes
        • Overview of Record Logs
        • Adding Comments, Activities, Support, or Next Steps
        • Searching and Exporting Record Logs
      • Notices
        • Overview of Notice Setups
        • Working with Notices
        • Cleaning Up Notices
        • Reassigning Notice Setups to Different Teams
        • Deactivating Notice Setups
        • Overview of Notices
        • Overview of My Notices
      • Printing
        • Printing Information from aACE
        • Editing Print Layouts
        • Handling Corrupt Fonts
      • Searching Records
        • Finding a Set of Records
        • Using aACE's Quick Search Features
        • Sorting Records in the List View
        • Understanding Advanced Search Functionality
        • Using Search Operators for Better Results
        • Removing Records from Search Results
        • Adding Records to Search Results
        • Using aACE Related Records Links
      • Overview of Documents and the Documents Viewer
      • aACE Data Interchange (ADI)
        • aACE Data Interchange Overview
        • Vendor Acknowledgement Workflow
        • Customer Pay Now Workflow for Credit Card Payment
        • Customer Pay Now Workflow for ACH Payment
    • Support
      • Getting Started with aACE 6 Support
      • Getting Better Support with Better Support Tickets
  • aACE System & User Setup
    • Installing aACE - System Admin and Server Guides
      • aACE Server
        • FileMaker
          • Overview of Configuring Your aACE Server
          • Preparing the Server
          • Installing & Configuring FileMaker Server
          • Installing FileMaker Pro on Your aACE Server
          • Installing & Configuring aACE
          • Configuring Backups & Anti-Virus Software
          • Configuring an SSL Certificate
          • Configuring the Server's Desktop
          • Confirming Network Configuration for an aACE Launcher
          • Restarting the aACE Server
          • Enabling Remote Access to Your aACE System
          • Restarting the FileMaker Script Engine
          • Upgrading Your aACE Server to FileMaker Server 19.1.2 or Later
        • Configuring Automated Restarts on Your aACE Server
      • System Admin
        • Configuring the aACE Launcher
        • Installing the FileMaker Client
        • Setting a Static IP Address on Mac OS
        • Setting Up Offsite Backups
        • Disabling Automatic Software Updates
        • Installing Windows / Mac Software Updates on Your aACE Server
        • Working with the aACE Default Password
        • Creating and Hosting Prefixed Test Systems
        • External Authentication in aACE
        • Restarting LogMeIn on Your aACE Server
        • Downgrading Your Version of FileMaker
    • Team Members & System Users
      • Setting Up New Users
      • Managing a User's Status
      • Resetting a User's Password
      • Changing a User's Account Name
      • Setting Up Teams
      • Managing a Team Member's Status, Office, and Department
      • Creating a Team Member's Related Company and Contact Record
      • Assigning Expense Approvers to Team Members
      • Overview of User Groups
      • Controlling Access to aACE Modules with User Groups
      • Understanding Record Access Privileges in User Groups and Team Member Settings
      • Understanding the 'Can Switch Offices' Team Members Preference
      • Using FileMaker Re-login to Update Settings
      • Overview of Team Members
      • Overview of Teams
    • Offices & Departments
      • Overview of Offices
      • Setting Up Departments
      • Viewing Team Members by Office
      • Personalize Report Branding by Office
      • Switching Between Offices
      • Overview of Departments
      • Overview of Inventory Bins
    • Postal Code & Mailing Setup
      • Zip-Codes.com Database Integration
      • Working with Postal Codes
    • System-Wide Preferences
      • Overview of aACE Preferences
      • Overview of Branding Preferences
      • Overview of Billing Preferences
      • Overview of Procurement Preferences
      • Overview of Production Preferences
      • Overview of Shipping Preferences
      • Overview of Database Preferences
      • Overview of Currency Conversion Preferences
      • Overview of Documents Preferences
      • Overview of aACE Menu Preferences
      • Overview of Shipping Setup Preferences
      • Overview of Automation Schedules Preferences
      • Overview of Units of Measure Preferences
      • Working with Management Preferences
    • System Management
      • Configuring Automation Schedules
      • Notification Automation Preferences
      • Working with Value Lists
      • Overview of System Logs
    • Accessing aACE - Guides for New Users
      • Accessing aACE from Your Computer
      • Coordinating with Your System Administrator on Your aACE Setup
      • Accessing aACE Using a Launcher
      • Accessing aACE Without a Launcher
      • Logging In and Out of aACE
    • Email and Mailgun Set Up
      • Understanding aACE Email Integration
      • Understanding Email Automation in aACE
      • Mailgun
        • Setting Up Mailgun
        • Troubleshooting Mailgun Errors
  • Accounting & Bookkeeping
    • Accounting
      • Printing Financial Reports
      • Understanding the aACE Chart of Accounts
      • Importing and Setting Up Your Chart of Accounts
      • Closing a Fiscal Year
      • Managing and Printing Vendor 1099s
      • Writing Off Bad Debt
      • Understanding Multi-Entity Accounting
      • Reconciling Inventory with the GL
      • Understanding the Unit Cost Logic in the COGS Reconciliation Process
      • Troubleshooting Errors from Billing or Payment Terms
      • Understanding the Accounting Module Naming Conventions
    • Accounting Preferences
      • Chart of Account Preferences
      • Overview of Billing & Payment Terms Preferences
      • Overview of Period Management Preferences
      • Customizing Adjustment Codes
      • Accounting Data Entry Preferences
    • Reconciling Bank Accounts
      • Viewing the Check Register
      • Reconciling a Bank Account
    • Working with the General Ledger
      • Reassigning GL Accounts to Posted Transactions
      • Deleting Unused GL Accounts
      • Removing Relationships to GL Accounts
      • Reassigning GL Account from Line Item Code for List
      • Viewing Records in the General Ledger
      • Adding an Account to the Chart of Accounts
      • Updating GL Accounts & Activity for Line Item Codes
      • Overview of GL Accounts
      • Overview of GL Budgets
    • COGS, Accrued Inventory, and Labor
      • Understanding the Relationship Among Inventory Lots, Usage, & Transactions
      • Understanding the COGS Reconciliation Process
      • Understanding Accrued Inventory
      • Understanding Unallocated Inventory Usage
      • Using Inventory Adjustments to Resolve Unallocated Inventory Usage
      • Understanding the Inventory Give-Back Loop
      • Understanding the Accrued COGS Reconciliation Process
    • Working with Recurring Transactions
    • Working with Currency Conversions
    • Understanding aACE and Payroll Processing
    • Working with Auto-Reversing General Journal Entries
    • Overview of Bank Reconciliation
  • Accounts Payable
    • Understanding Payment Methods
    • Using the Adjustment Field in Disbursements
    • Working with Use Taxes on Purchase Orders and Purchases
    • Managing Purchase Orders
      • Working with Purchase Orders
      • Handling Vendor Deposits
      • Managing Requests for Quotes
      • Overview of Purchase Orders
    • Managing Purchases
      • Working with Purchases
      • Applying a Vendor Credit to a Purchase
      • Entering Purchases for Carrier Invoices
      • Overview of Purchases
    • Making Payments to Vendors
      • Paying a Vendor
      • Using the Pay Bills Screen to Pay Multiple Vendors
      • Printing Checks
      • Working with Remittance Advice
      • Automating Remittance Advice
      • Selecting a Check Template
      • Processing Refunds from Vendor Purchases
    • Using Credit Cards for POs, Purchases, and Payments
      • Setting Up Internal Credit Cards
      • Entering Credit Card Payments for Purchasing
    • Overview of Disbursements
    • Overview of Vendor Follow-Up
    • Overview of Purchase Items
    • Overview of Purchase Order Items
    • Overview of Disbursement Items
  • Accounts Receivable
    • Invoices and Receipts Overview
      • Overview of Invoices
      • Overview of Receipts
      • Overview of Invoice Items
      • Overview of Receipt Items
      • Recording a Bank Deposit
    • Payments From Customers
      • Receiving Payments from Customers
      • Using the Adjustment Column in Receipts
      • Processing Refunds for Customer Payments
      • Processing Customer Overpayments
      • Working with Progress Billing
      • Applying a Customer Credit from the Orders Module Payment Dialog
    • Payment Processing
      • Working with Customer Credit Card Processing
      • Adding a Credit Card Without Charging
      • Updating Customer Credit Cards
      • Applying Credit Card and Debit Card Payments to Orders with Global Payments Integrated
      • Adjusting for Credit Card Fees on Merchant Accounts
      • Resolving Incomplete Credit Card Transactions
      • Processing Credit Card Chargebacks
      • Third Party Payment Processors
        • Payment Processor Setup
        • Payment Innovators Specific Workflows
          • Customer Pay Now Workflow for Credit Card Payment
          • Customer Pay Now Workflow for ACH Payment
          • Payment Innovators ACH Processing General Workflow
          • ACH Processing Co Portal and Reports
          • ACH Return Code Explanations
          • [Draft] - I've Received an ACH Return Code Notice, What Do I Do Now?
        • Global Payments Specific Workflows
          • Applying ACH Payments to Orders with Global Payments Integrated
  • CRM & Sales
    • Leads
      • Creating Leads
      • Understanding Lead Management
      • Closing Leads
      • Overview of Leads
    • Lists
      • Overview of the Lists Module
      • Working with CRM Lists
    • Overview of Activities
    • Overview of Contacts
    • Overview of Companies
    • Campaigns
      • Overview of Campaigns
  • Data Migration
    • Migration Overview
      • Understanding the Data Migration Process
      • Migrating Master Data to aACE
      • Resetting Test Transaction Data
    • Importing Data
      • Overview of Importing Data
      • Data You Can Import into aACE
      • Understanding Master Data and Transaction Data
      • Downloading an Import Template
      • Preparing a Data File for Importing
      • Importing Records
      • Importing Transaction Data
      • Mapping Import Fields by Hand
      • Handling Import Validation Errors
      • Importing Updates to Your Line Item Codes
      • Importing Item Data into a Header Record
  • FAQs
    • Contact Management Questions
      • Changing the Default Postal and Phone Formats
    • Accounting & Bookkeeping Questions
      • Effects on Historical Transactions from Changing a Line Item Code's GL Account
  • Line Item Codes (Items & Services)
    • Overview of Line Item Codes
    • Assigning a Preferred Vendor to a Line Item Code
    • Replacing an LIC with Another of a Different Record Type
    • Configuring the Deposit Line Item Code
    • Deactivating a Line Item Code
    • Updating Unit Costs
    • Working with the Auto-Update Cost Rate Feature
    • Understanding Methods for Purchasing Outsourced Services
    • Overview of the Bill of Materials
    • Overview of LI Code Options
  • Inventory
    • Working with Inventory Transactions, Inventory Lots, and Inventory Usage
    • Setting Up Inventory Tracking
    • Setting Up Inventory Bins
    • Following an Example of Inventory Flow
    • Making Inventory Transfers
    • Making Inventory Adjustments
    • Processing Returns for Drop Shipped Inventory
    • Managing Inventory Through Cycle Counting
    • Understanding Inventory Replenishment for Purchased Items
    • Configuring Inventory Replenishment for Purchased Items
    • Configuring Inventory Replenishment for Manufactured Items
    • Working with Landed Cost
    • Understanding Inventory Tracking with Manufacturer Lots
    • Understanding Inventory Tracking with Serial Numbers
    • Tracking Inventory Transactions for Lot-Tracked and Serialized Items
    • Handling Returns and Inventory Adjustments for Lot-Tracked and Serialized Items
    • Understanding Discontinued Line Item Codes
    • Understanding Inventory Replenishment for Manufactured Items
    • Overview of Inventory Transactions
    • Overview of Inventory Lots
    • Overview of Inventory Usage
    • Overview of Inventory Adjustments
    • Overview of Inventory Adjustment Items
    • Overview of Inventory Mfr Lot Balances
  • Invoicing
    • Invoice Management
      • Working with Invoices
      • Handling Customer Deposits
      • Issuing a Customer Credit
      • Sending Customer Invoices
      • Sending Customer Statements
      • Sending Customer Orders
      • Understanding Adjustment Invoices
      • Applying a Customer Credit to an Invoice
      • Moving a Customer Payment from One Invoice to Another
    • Invoice Automation
      • Configuring Automation Settings for Invoicing
      • Understanding Invoice Automation
  • Jobs and Tasks
    • Overview of Jobs
    • Creating Task Groups
    • Linking Task Groups to Assembly Line Item Codes
    • Using Task Groups with Templates
    • Testing Task Groups
    • Rescheduling Task Group Tasks
    • Understanding Task Group Anchoring and Scheduling
    • Understanding Job Assignment Logic
    • Understanding Order, Production, and Standard Jobs
    • Overview of Tasks
    • Understanding Task Assignment Logic
    • Understanding Order, Production, Standard, and Sales Tasks
    • Understanding Task Preferences
    • Overview of Job Costs
    • Overview of Task Groups
    • Overview of Task Group Items
  • Mobile Apps
    • Getting Started with aACE Mobile
      • Configuring aACE for Mobile Apps
      • Considerations & Peripherals for Mobile Apps
    • CRM App
      • Configuring the aACE CRM App
      • Using the aACE CRM App
    • Expenses App
      • Configuring the aACE Expenses App
      • Using the aACE Expenses App
    • Inventory Counter App
      • Configuring the aACE Inventory Counter App
      • Using the aACE Inventory Counter App
    • Job Shop App
      • Configuring the aACE Job Shop App
      • Using the aACE Job Shop App
    • Orders App
      • Configuring the aACE Orders App
      • Using the aACE Orders App
    • Pick App
      • Configuring the Pick App
      • Using the Pick App
    • Receiving App
      • Configuring the Receiving App
      • Using the Receiving App
    • Time & Tasks App
      • Configuring the aACE Time & Tasks App
      • Using the aACE Time & Tasks App
  • Orders
    • Order Management
      • Overview of Orders
      • Working with Orders
      • Understanding Shipping Costs and Prices for Orders
      • Order Procurement Automation
      • Understanding Pick Up Orders
      • Understanding Drop Shipping
      • Understanding Backorder Management
      • Configuring Backorder Management
      • Understanding Processes for Customer Returns
      • Handling Customer Returns with Replacement Items
      • Handling Customer Returns by Reducing Order Items
      • Working with Special Orders
      • Working with Alts, Upgrades, and Options
      • Understanding Sales and Production Orders
      • Overview of Order Entry Preferences
      • Configuring Order Layouts
      • Overview of Order Items
      • Overview of Order Procurement
    • Overview of Projects
  • Pricing, Rates, and Commissions
    • Pricing
      • Overview of Line Item Code Rates
      • Pricing for Line Item Codes
      • Working with Volume Discount Pricing
      • Walk-Through for Pricing and Rate Cards
      • Assigning Customer Discounts
    • Rate Cards
      • Understanding Rate Cards
      • Creating Rate Cards
      • Assigning Rate Cards to Orders
      • Overview of Rate Cards
      • Overview of Rate Card Items
    • Commissions
      • Reviewing Commissions Functionality in aACE
      • Understanding Commission Structures
      • Setting Up Commissions
      • Working with Commissions and Accounting
      • Previewing and Generating Commission Statements
      • Paying Commissions
      • Manually Adjusting Commission Statements
      • Updating and Resetting Commissions on an Order
      • Understanding Commission Eligibilities
      • Working with Volume Commissions
  • Programming in aACE
    • Customizing the Main Menu
    • Programmer Mode Disclaimer
    • Logging In to Programmer Mode
    • Creating a Test System
    • Adding a Custom Menu Option
    • Enabling Remote Container Storage
  • Reporting
    • Understanding Reporting
    • Manually Exporting Grouped Report Data into Excel
    • Understanding the FileMaker 'Save as Excel' Button
  • Shipping & Receiving
    • Managing Shipping and Receiving
    • Shipping (Outgoing Shipments)
      • Shipping an Order to Multiple Addresses
      • Returning Shipments to Vendors
      • Updating Shipments for Orders
      • Voiding a Shipment
      • Entering Shipments from the Shipping Log
      • Handling Shipments that Contain the Wrong Item
    • Understanding Receiving for Purchase Order Items
    • Receiving (Incoming Shipments)
      • Receiving Incoming Shipments
      • Receiving Returned Orders
    • Understanding Blind Shipping
    • Overview of the Shipping Log
    • Overview of Shipping Log Items
  • Tax Profiles
    • Overview of Tax Profiles
    • Setting Up Tax Profiles
    • Linking Tax Profiles to Postal Codes
    • Linking Tax Profiles to Company Records
    • Understanding Tax Rate Calculations
    • Handling Tax Rate Changes
    • Creating a Tax Profile
    • Flagging Companies as Tax Exempt
  • Templates
    • Building a Template
    • Using Templates in Orders
    • Using Templates for Purchase Orders
    • Using Templates for Shipping Charges
    • Using Templates in Campaigns
    • Overview of Templates
    • Overview of Template Items
  • Third Party Integrations
    • Payment Processing
      • Payment Processing Feature Highlight
      • Understanding Credit Card Processing
      • Selecting a Credit Card Processor
      • Working with Test Mode to Learn About Credit Card Processing
      • Verifying Your Payment Processor Setup
      • Managing Your Credit Card Processor Fees
      • Processing Refunds for Customer Credit Card Payments
      • Charging a Fee for Customer Payments Made with a Credit Card
      • Processing Refunds for Vendor Purchases Made on a Credit Card
      • Payment Innovators
        • Setting Up Payment Innovators
        • Customer Pay Now Workflow for Credit Card Payment
        • Customer Pay Now Workflow for ACH Payment
        • Payment Innovators ACH Processing General Workflow
        • ACH Processing Co Portal and Reports
        • ACH Return Code Explanations
        • [Draft] I've Received an ACH Return Code Notice, What Do I Do Now?
        • Refund A Credit Card Convenience Fee
      • Global Payments Integrated
        • Setting Up Global Payments Integrated
        • Working with Global Payments Integrated Peripherals
        • Troubleshooting Global Payments Integrated Errors
      • Authorize.Net
        • Troubleshooting Authorize.Net Errors
    • Sales Tax Automation
      • AvaTax
        • Understanding aACE+ AvaTax Integration
        • Setting Up Avalara Integrations
        • Using AvaTax
        • Troubleshooting AvaTax Errors
        • Filing Your Taxes Using AvaTax
        • Using CertCapture
    • Shipping
      • Choosing a Shipping Solution
      • ReadyShipper
        • Troubleshooting ReadyShipper Errors
      • ShipStation
        • Setting Up ShipStation
      • NRG
      • eCommerce
        • Understanding Your eCommerce Integration
        • Choosing an eCommerce Platform
        • Handling eCommerce Returns and Refunds
        • Refunding Taxes on eCommerce Orders
        • Understanding How to Account for eCommerce DTC Orders
        • WooCommerce
          • Troubleshooting WooCommerce Errors
        • Shopify
          • Troubleshooting Shopify Errors
        • ReadyCloud
          • Troubleshooting ReadyCloud Errors
      • Email Marketing
        • Understanding Email Marketing
        • VerticalResponse
        • Calendar
          • DayBack
            • Troubleshooting DayBack Calendar Errors
        • Data Visualization
          • Tableau
            • Setting Up Tableau
          • Understanding aACE Data Services (ADS)
        • Electronic Data Interchange (EDI)
          • Understanding EDI
          • Selecting an EDI Provider
          • Onboarding and Testing an EDI Trading Partner
          • Setting Up EDI
      • Time Management & Expense Envelopes
        • System Configuration
          • Internal Orders
        • Time Management
          • Overview of the Time Module
          • Setting Up Time Management
          • Understanding and Working with Time Management
          • Handling Time Management for Freelancers
          • Using the Time Clock
          • Overview of Timesheets
        • Expense Envelopes
          • Configuring Your System for Expense Envelopes
          • Working with Expense Envelopes
      • Troubleshooting
        • Sending Emails Produces a "Server Busy" Error Message
        • Finding Which Version of FileMaker You're Running
        • Troubleshooting Mac Errors About Unidentified Developers
        • Logging In to Local File Sets
        • Clearing Saved Login Credentials
        • Troubleshooting Connectivity Issues
        • Emailing a File Not Generating an Email Message
      • Home

      Third Party Integrations

      Payment Processing

      Sales Tax Automation

      Shipping

      eCommerce

      Email Marketing

      Calendar

      Data Visualization

      Electronic Data Interchange (EDI)

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