Import department codes

Find this screen

Open: Nominal Ledger > Utilities > Import > Import Departments.

How to

Create an import file for departments

You can import departments using a CSV Comma Separated Value (CSV) file format. Sage 200 can import and export data in the CSV file format. file.

  1. Download the import information and example file:

  2. Create your import file in the format of the CSV example file.
  3. Read the information in the import format file (XLS), and make sure your information is correct and all mandatory fields are included.

    • The Code is mandatory.
  4. Save your import file.

Validate your import file

You can validate the file to make sure all the records are in the correct format and have the required mandatory fields. No records are imported

  1. Select Validate records only and click OK.

  2. Browse to your import file, select it and then click Open.

    The file is checked and two reports are generated:

    • The Update Report: Shows the valid records that would be successfully imported into Sage 200.
    • The Update Report (Invalid): Shows the invalid records that would not be imported into Sage 200. The reason for the failure is shown in the report, and there may be more than one reason for the failure.

    Note: The reports are displayed as a preview, printed, or sent to the spooler. This depends on the Output mode you have set.

    Note: If you get a message "Unable to process the specified file", make sure your import file is closed and isn't open in any applications.

  3. Check both reports to ensure that your records are complete and correct.

  4. Make any required corrections to the records in your import file.
  5. To revalidate your import file, repeat this process.

Import departments

  1. Select Validate and import records.
  2. Click OK.

  3. Browse to your import file, select it and click Open.

    Note: If you get a message "Unable to process the specified file", make sure your import file is closed and isn't open in any applications.

  4. Check the validation reports to ensure that your records are complete and correct.

    Note: The reports are displayed as a preview, printed, or sent to the spooler. This depends on the Output mode you have set.

  5. Make any required corrections to the records in your import file.

    As part of this update remove the details of records that were successfully imported. This prevent erroneous errors the next time you import the file.

  6. Repeat this process to import those corrected records.

Useful info

When to use departments

Use Departments when you want to report on costs or revenue by a particular area within your organisation. Each department code is appended to a nominal account code to create a new nominal account. You can then report on the cost and revenues for all nominal accounts with the same department code.

Departments can be used on their own or as subdivisions of cost centres where costs / revenue are required to be collected and reported on separately. For example, a cost centre could be a sales area such as North East or South West, and different departments could be sections such as Administration or Training.

Create nominal accounts for your departments

Each nominal account Code, CC and Dept combination is a separate nominal account. There are four ways you can create new nominal accounts using a new CC or Dept.

  1. Import your accounts. This is quickest way to create new nominal accounts. As long as you have created your cost centres and department codes, you can import account using a CSV file.

    Open: Nominal Ledger > Utilities > Import > Import Ledger File.

  2. Create a new single nominal account using the Dept. Use this method if you just want to create a small number of new accounts.

    Open: Nominal Ledger > Nominal Accounts > Enter New Account.

  3. Create accounts with the new CC or Dept for an existing account code. Use this when you already have a nominal accounts using a particular code and you want to add the CC and/or Dept. For example, you already have an account code of 6000, and want to add CC codes A, B and C and Dept codes of X. Y and Z. This will create all the accounts with the required combinations.

    Open: Nominal Ledger > Nominal Accounts > Generate New Accounts.

  4. Create a range of nominal accounts and a new CC or Dept. Use this when you want to duplicate an existing range of accounts for a new CC and/or Dept. This also creates a code. For example, you have a range of existing nominal accounts using LON (CC) ADM (Dept) and you want to duplicate this for MAN SAL.

    Open: Nominal Ledger > Utilities > Ledger Set Up > Create Accounts for Cost Centre and Department.


Questions

What are the contact details used for?

The email address is used if you want to send the Budget Statement Breakdown By Department report to the person responsible for the department.

The Budget Statement by Department report shows the budget, actual, committed and difference (Balance) for all nominal accounts with the same department. The report is broken down into sections per department so the report can easily be separated and sent to different people.

This report is configured so that the each department section is attached to a separate email and sent to the email address specified against each department here. If you have 10 departments then the relevant section of the report is attached to 10 separate email messages, which are sent to your out-box.

See How to report on your budgets.

The field is too long

This means that one of the fields has too many characters.

  • Code = 3
  • Name = 60
  • Contact Name = 200
  • Contact Details = 235
  • Email address = 200

The department code cannot be blank

Make sure all rows in the CSV file have a 3 character code.

The specified department is already in use

This means that a department Code has already been used.

Check the CSV file and either remove that row or use a different code.


What happens when

What happens when I validate the file?

When you validate an import file, Sage 200 checks for the following:

  • Whether an item already exists.

  • All items contain the required mandatory fields.

  • All fields are correctly formatted.

The result of the validation is provided by reports.

  • A report lists the items that are valid and can be imported.

  • A separate report is produced to list any items that are invalid and can't be imported. The report will tell you why individual items are invalid.

Note: Depending on your selected output mode, the reports are displayed as a preview, sent to the spooler, or sent to the printer.

What happens when I import the file?

  1. The import file is validated.
  2. The import file is processed.

    All valid items are imported, and any invalid items are ignored.

  3. The result of the import is provided by reports.

    • A report lists the valid items that were successfully imported.

    • A separate report is produced to list any items that were invalid and could not be imported.

    Note: Depending on your selected output mode, the reports are displayed as a preview, sent to the spooler, or sent to the printer.