Hi all.
I'm working with an A/P department that is using "legacy technology" and has no capability for maintaining notes on invoices due, etc. I'd like to give them a database that would provide them with the features they need, but I'm running into a conceptual snag.
I am able to extract from their database system all open invoices each day. For each invoice, the A/P person will make notes from day to day on approvals to pay, any problems with the invoice or related inventory or service, discussions with the vendor, etc. So, let's say on Monday they make notes on a particular open invoice. On Tuesday, they'll pull all open invoices from their system and import that set of invoices into the Access database. Some will be new, but many will already be in the table. Using the Vendor Number and Invoice Number together as the table key, I can avoid duplication into the table. But, some already in the database will not appear in the new extract because they've been paid.
So, my question is... how do I get to a point where they can do this import each day and see only the invoices that are currently open AND maintain their previously-entered notes? I thought first that there would be a query to run each day, but I don't know how to keep consistency regarding table names in the query, etc, so the query doesn't have to be edited for each new import. Would this be an append to get the new ones? If so, how do I drop the ones that are not in the newest extracted data?
A complication, of course, is that I want them to be autonomous and able to do this without my input each day.
Thanks for any help!!
Tom
I'm working with an A/P department that is using "legacy technology" and has no capability for maintaining notes on invoices due, etc. I'd like to give them a database that would provide them with the features they need, but I'm running into a conceptual snag.
I am able to extract from their database system all open invoices each day. For each invoice, the A/P person will make notes from day to day on approvals to pay, any problems with the invoice or related inventory or service, discussions with the vendor, etc. So, let's say on Monday they make notes on a particular open invoice. On Tuesday, they'll pull all open invoices from their system and import that set of invoices into the Access database. Some will be new, but many will already be in the table. Using the Vendor Number and Invoice Number together as the table key, I can avoid duplication into the table. But, some already in the database will not appear in the new extract because they've been paid.
So, my question is... how do I get to a point where they can do this import each day and see only the invoices that are currently open AND maintain their previously-entered notes? I thought first that there would be a query to run each day, but I don't know how to keep consistency regarding table names in the query, etc, so the query doesn't have to be edited for each new import. Would this be an append to get the new ones? If so, how do I drop the ones that are not in the newest extracted data?
A complication, of course, is that I want them to be autonomous and able to do this without my input each day.
Thanks for any help!!
Tom