SFM Interface
Tracing a Journal entry from SFM to SIMS interface
This article provides a step-by-step guide on how to trace a journal entry from SFM back to the source of the posting. In the below example, we have identified a journal entry through the Nominal Audit Trial listed as JR 000040 with values of €150 ...
How to fix wrong client balance in POS or Tablet Ordering System
When the client balance does not reflect the actual account balance in SFM, you need to use the Replicate with SFM functionality. This can be done by clicking on the yellow SFM button, illustrated below.
Error: No accounting details for code when exporting from SIMS to SFM
Problem Error: No accounting details for code when exporting from SIMS to SFM Environment SIMS, SFM Solution The Accounting details on SIMS from Stock Groups or Location need to be updated. To allocate the accounting group to the SIMS Stock Group: Go ...
SIMS and SFM Interface Posting
The following table identifies the accounting entries posted in the Shireburn Financial Manager from transaction in the Shireburn Management Inventory System. The link from the inventory to the accounting system is available from the stock group or ...