What is Converted?
The following is a summary of lists and transaction types converted from Peachtree to Quickbooks:
Lists
- Chart of Accounts
- Customer list
- Vendor List
- Jobs List
- Employee List
- Service Items
- Inventory Items
- Non-Inventory Items
- Assembly Builds Items
Transactions
- Invoices
- Customer Payments
- Credit Memo
- Sales Receipts
- Bills
- Vendor Credits
- Vendor Payments
- Checks
- Journal Entries
- Item Receipts
- Inventory Adjustments
- Liability Adjustments
- Paychecks (as Journal Entries)
- Payroll Liability Checks
- Sales Tax Payments
- Transfers
- Estimates
- Sales Orders
- Purchase Orders
What is not converted from Peachtree?
We only currently convert core accounting data from Peachtree and not the following types of data.
- Bank Reconciliations (You will need to do one bank reconciliation after the conversion)
- Paychecks are converted as Journal Entries (Payroll data conversion is not supported by Quickbooks)
- Employee YTD information
- Individual employee wage or deduction information
- Peachtree Custom templates
- Budgets
These are the terms which has to be used for Convert Data PeachTree to QuickBooks