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North American Software, Inc.

Helper Help

Dain Rauscher Import

What will the Dain Rauscher import do for me?
»»   The Dain Rauscher import will import client names and addresses, account numbers, initial holdings, daily transactions, and prices.

How do I do the INITIAL IMPORT?
»»   Download the necessary file from Dain Rauscher for an initial download.

»»   Double-click on the Import Program icon.  If you have used the Import Program before, it will ask you, “Do you want the Status Log contents deleted?”  Click Yes twice.

»»  Select Import Data from Your Firm (Initial) and put a checkmark by Setup Before Import.  Click OK.

»»  In the Firm(s) to Import dialog box, if there is a firm name in the Firms box, highlight that firm name and click Delete.  Then click Add.  Choose Dain Rauscher.  Click OK.  Highlight Dain Rauscher in Firm(s) to Import dialog box, and click View.

»»  Click on Update Setup (wrench icon).  In the Database Update Configuration dialog box, put checkmarks by Client & Account, Account/Balance, Products, Price, and Initial Holdings.  Also put checkmarks by the four “Update These Product Parameters” options (Description, Product Type, Dividend Frequency, and Asset Class) and by the two options at bottom (Convert Upper Case to Upper and Lower Case and Prevent duplicate clients by comparing the Last Name, Full Name, and SSN Fields).  Click OK.

»»  Click OK in Initial Download Configuration File Setup dialog box.  Click OK in the Firm(s) to Import dialog box.

»»  Locate your initial download file and click OK. Once the Initial import is complete, it will take you to the Status Log screen (white background).

»»  Close out the Import Program by clicking on the X at upper-right, or by selecting ActionsàExit.  You can now enter the main program and confirm the success of the Initial import.

How do I do the DAILY IMPORT?
»»  Note: With Dain Rauscher's daily import, When you get a new client, you will need to create a new client record, as well as the account number on that record. Otherwise, new clients will not come in, and you will have some transactions that will read as "Missing Account."

»»   Download the necessary file from Dain Rauscher for a daily download.

»»   Double-click on the Import Program icon.  It will ask you, “Do you want the Status Log contents deleted?”  Click Yes twice.

»»  Select Import Data from Your Firm (Daily). If you have done Daily imports before, click OK, and skip to Locate your daily download file (below). If this is your first time doing a Daily import, put a checkmark by Setup Before Import. Click OK.  Click OK.

»»  In the Firm(s) to Import dialog box, if there is a firm name in the Firms box, highlight that firm name and click Delete.  Then click Add.  Choose Dain Rauscher.  Click OK.  Highlight Dain Rauscher in Firm(s) to Import dialog box, and click View.

»»  Click on Update Setup (wrench icon).  In the Database Update Configuration dialog box, and put checkmarks by Transaction and Bookkeeping. Leave the checkmarks by Account/Balance, Prices, and Products.   Also put checkmarks by the four "Update These Product Parameters" options (Description, Product Type, Dividend Frequency, and Asset Class) and by the two options at bottom (Convert Upper Case to Upper and Lower Case and Prevent duplicate clients by comparing the Last Name, Full Name, and SSN Fields). Click OK. 

»»  Click OK in the Daily Download Configuration File Setup dialog box.  Click OK in the Firm(s) to Import dialog box.

»»  Locate your daily download file and click OK. Once the Daily import is complete, it will take you to the Status Log screen (white background).

»»  If there are bad transactions, the Bad Transactions report will appear.  You can print this report by selecting Print à Bad Transactions. You will see what information is missing or incorrect.  Once you correct/reconcile the position in the main program, you can return to the Import Program (WGIAPP).  This time, after clicking Yes twice to delete the Status Log, click Cancel in the Select Action to Begin dialog box.  Select Actions à Post Bad Transactions.

»»  Close out the Import Program by clicking on the X at upper-right, or by selecting ActionsàExit.  You can now enter the main program and confirm the success of the Daily import.

Helpful Hints for Daily import only (NOT for Initial import)
»»  The Status Log keeps track of all activity in the Import Program.  If there was a problem with the Import for a particular day, this Status Log will help the tech support staff at North American Software resolve your problem.  Do not delete the Status Log if the Import for a certain day is in question.  There may be Product Symbols that have changed, which you will need to adjust manually.

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