Reduce Manual Entry and Enhance Accuracy in Revenue Management

Simplify Revenue Tracking with Cash Receipts Imports for MIP Fund Accounting

Managing cash receipts manually can be tedious and error-prone. Our Cash Receipts Import service automates the process, ensuring that revenue data is imported into MIP Fund Accounting quickly and accurately.

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Why Choose our Cash Receipts import Services?

Automated Cash Receipt Entry

Eliminate manual input for efficiency.

Accurate Data Processing

Reduce errors with pre-configured import templates.

Flexible Integration

Works with various cash receipt sources.

Improved Financial Reporting

Ensure up-to-date revenue tracking.

Services designed for you

Our Cash Receipts Import Services

Basic Cash Receipts Import (CR)
($800.00)

Standard layout template and import training.

Cash Receipts Import with Script (CR)
($1,600.00)

Custom scripting and automated processing for accurate imports.

Steps for Importing Into MIP®

  1. Formatting/Inputting Fields
  2. Logging into MIP®
  3. Selecting the Definition File
  4. Selecting the CSV File
  5. Reviewing Error Messages
  6. Clearing Out Partial Imported Session
  7. Reviewing Transactions in MIP®
  8. Reviewing an Unposted Report in MIP®
  9. Posting in MIP®
The Export/Import Process: Source of External Data > Export > Data File > Process External Data to Meet Import Specification > Data File > Create Definition File > Import > MIP® Fund Accounting System

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