Popular Articles

  1. Add Purchase Invoice using Multi-ICT

    Multi-location companies often transfer product from one Location to another. Using the Multi-ICT option allows easy creation of Purchase Invoices from multiple Inter-Company Transfers (ICT). At Accounting / Inventory / Purchase Invoicing , se...
  2. Setting Up and Using Blend Fees

    Q.  What is a blend fee, and how do I set it up? A.  A blend fee is a product set up to represent a charge for blending, delivery, or equipment for fertilizer, feed, etc. It is usually set up in a Fee Inventory Department in the Hub.  Blend fe...
  3. Formatting - SKY Analytics

    Format text to capture the company brand and style. Changes at the workbook level quickly change fonts, titles, lines, grids, colors, or themes throughout all the Analytics sheets in a workbook. Themes A new workbook automatically defaults to a th...
  4. Mapping Preferences - Hub

    This area at Hub / Setup / Mapping Preferences allows non-Mapping users to set preferences for options related to viewing maps outside of Mapping. Background Road Folder – Use the Browse icon to choose which folder is the background road ...
  5. Undo Back Office Export

    If a previous export file needs to be retransmitted to the home office for any reason, the Hub / Transfers / Export / Undo Back Office Export function unmarks the entries involved in a particular transmission. This function requires a password f...
  6. Sell from Dept ID

    The Sell From Dept ID preference at Accounting / Setup / Location Preferences on the Delivery Ticket tab allows the option to easily change the Inventory Department that a Blend or Delivery Ticket line item is pulling from without having to de...
  7. AP Bills - SKY Vendor

  8. Background Imagery

    There are two options for background imagery.  Option One (Recommended) Background imagery can be set up either at  Mapping / SSI / Mapping Preferences or Hub / Setup / Mapping Preferences by selecting the Use Bing options for Bing Roads data...
  9. Reading Your Commodity Statements from Various Trading Companies

    Overview The following document provides guidance for reading commodity statements from trading companies to which Agvance users might subscribe. MF Global MF Global's daily statement has a section called Purchase and Sale. This section outline...
  10. Reading a Scale Interface Debug Report

    Overview Reading a debug file for scale interface is not as complicated as it looks.  Once the debug has run, it will create two files in the selected directory, called SSIScTkDebug.txt and SSIScTkDebugAscii.txt.  The first file will list all of th...