Manually Execute a Code Entry Export

Exports can be scheduled to execute at a specific date and time, or on a recurring basis. You can also manually execute an export.

To manually execute an export of Code Entries:

  1. Select Transactions from the top navigation bar, then select Codes > Code Entries from the side navigation menu. The Code Entries screen is displayed.

  2. From the Actions drop-down menu, select Code Entries Exports. The Code Entries Export Definitions pop-up window is displayed and populated with a list of all existing Code Entry Exports.

  1. From the Action column of the desired export, click the Execute icon. A confirmation dialog box is displayed; click Confirm.

  1. A success message is displayed. When the export is complete, you can download it (see Download a Code Entry Export for more information).