We Make Integrating Into MIP® Fast & Easy
Most MIP Fund Accounting® Integration Projects are Completed Within Two Weeks!
We utilize the traditional import functionality of MIP Fund Accounting®, which gives you, the end-user, the most control over the process and ensures the accuracy of your data. Our approach provides consistent and reliable integration that requires minimal maintenance and offers immense flexibility. We don't make you conform to the MIP® process; instead, we adapt to fit your business processes. We don't create your source file or system make modifications; we build the process based on whatever source file you can provide. We look forward to sharing our MIP® training and support process!
Integrated Solutions & Imports For Abila MIP
-
$700.00
$700.00Basic Journal Voucher Import (JV)
This process involves providing a standard layout Excel template and an associated definition file to enable imports into MIP Fund Accounting®. We collaborate to determine the necessary fields and those that can be defaulted. Once we have the template and associated definition file ready, we train your team on how to import data into MIP®. -
$1,400.00
$1,400.00Journal Voucher Import with Script (JV)
This process begins with your current Excel layout template and converts it into a format that's importable into MIP Fund Accounting®, based on MIP® business fields and rules. That's right—we don’t ask you to change your existing processes at all! We take whatever layout you are currently using and work with that, which minimizes changes for your team. Through scripting and pop-up windows, we add any necessary fields, format dates, amounts, and other fields to comply with MIP Fund Accounting®'s business rules. We then build the associated definition file needed to import the formatted file into MIP®. Once this setup is complete, we train your team on how to perform imports into MIP Fund Accounting®. -
$700.00
$700.00Cash Receipts Basic Import (CR)
This process involves providing a standard layout Excel template and an associated definition file for importing into MIP Fund Accounting®. We collaborate on the layout to determine which fields are necessary and which can be defaulted. Once we have developed the template and the associated definition file, we train your team on how to import data into MIP®. -
$1,400.00
$1,400.00Cash Receipts Import with Script (CR)
This process utilizes your current Excel layout template and adapts it into an importable format that complies with MIP®'s business fields and rules. We don’t require you to change your existing processes at all! Instead, we take your current layout and work directly with it. This approach minimizes changes for your team. Through scripting and popup windows, we add any necessary fields, format dates, amounts, and other required details to meet MIP Fund Accounting®'s business rules. Next, we construct the associated definition file needed for importing the formatted file into MIP®. Once everything is set up, we provide training to your team on how to import data into MIP Fund Accounting®. -
$1,400.00
$1,400.00Payroll Integration (JV)
No matter who your payroll provider is—be it ADP, Paychex, Paycom, Paycor, Paylocity, or any other—if you can provide us with a file, we can most likely import it into MIP Fund Accounting®. We will work with you to determine whether your file includes direct coding or if you need to allocate payroll using Distribution Codes in MIP®. Regardless of your current process, we are committed to successfully importing your file into MIP Fund Accounting®. -
$900.00
$900.00Importing/Updating Distribution Codes
If you have grants or contracts that require updated Distribution Codes, if you allocate payroll using Distribution Codes, or simply need them imported as part of your implementation, we provide a utility that works with whatever layout your Excel file is structured in. This flexibility ensures that we can accommodate your specific needs and seamlessly integrate with your existing systems. -
$600.00
$600.00Vendor Clean Up
This process is ideal for organizations that have been using MIP Fund Accounting® for several years and are looking to streamline the number of vendors appearing in the drop-down list during entries. McGovern Consulting Group collaborates with your organization to define the criteria for keeping vendors with an Active status in MIP Fund Accounting®. We start by exporting the entire Vendor report, which includes the ID, Status, and Name. Next, we export the Check Register for a period specified by your organization to identify which vendors you have conducted business with and should remain active. This targeted approach helps optimize your vendor management and improves the efficiency of transaction entries. -
$600.00
$600.00Customer Clean Up
This process is ideal for organizations that have been using MIP Fund Accounting® for several years and are looking to streamline the number of customers appearing in the drop-down list during entries. McGovern Consulting Group collaborates with your organization to define the criteria for which customers should be kept with a status of Active in MIP Fund Accounting®. We start by exporting the entire Customer report, which includes the ID, Status, and Name. Next, we export the Receipt Register for a period specified by your organization to identify which customers you have conducted business with and should remain active. This targeted approach helps optimize your customer management and improves the efficiency of transaction entries.
Budget Integrations
-
$700.00
$700.00Basic Budget Import (One Time - No Scripting) (BD)
This process involves providing a standard layout Excel template and an associated definition file for importing into MIP Fund Accounting®. We collaborate to determine which fields are necessary and which can be defaulted. Once the template and definition file are finalized, we train your team on how to import data into MIP®. This streamlined approach ensures that your team is well-prepared to handle the import process efficiently. -
$1,800.00
$1,800.00Excel Budget Workbook Scripting & Import (Use the same layout/script every year)
This process involves taking your current Excel layout template and converting it into a format that can be imported into MIP Fund Accounting® based on its business fields and rules. We don’t ask you to change your existing processes; instead, we work with whatever layout you are currently using. This approach minimizes changes for your team. Through scripting and pop-up windows, we add any necessary fields, format dates, amounts, and align other fields to meet MIP®'s business rules. We then create the associated definition file needed to import the formatted file into MIP®. Once this setup is complete, we provide training to your team on how to conduct imports into MIP Fund Accounting® effectively. -
$1,400.00
$1,400.00PowerPlan to MIP® Budget (BD)
We begin by working with the export from PowerPlan. Once we have the file, we collaborate to determine several key aspects: how fields will align, which fields can be defaulted, and whether a mapping file is necessary. From there, we write a custom script that guides you through the process of creating a file with the necessary fields for MIP Fund Accounting®. After this, we write a definition file that matches your file layout and can be read by MIP®. Finally, we provide training on how to import data into MIP Fund Accounting®, how to troubleshoot the process, and document all necessary steps to ensure a smooth and efficient workflow.
Development - Membership - Association Management
-
$1,400.00
$1,400.00Daxko to MIP® (JV)
We begin our process by working with one of several Daxko files. Once we receive the file, we collaborate to determine several key aspects: how the fields will align, which fields can be defaulted, and whether a mapping file is necessary. Following this, we develop a custom script that guides you through the process of creating a file that includes all necessary fields for MIP Fund Accounting®. Subsequently, we create a definition file that matches your specific file layout and is compatible with MIP®. Finally, we provide training on how to import data into MIP Fund Accounting®, troubleshoot the process, and document all the necessary steps to ensure a smooth and efficient operation. This comprehensive approach ensures that you are fully equipped to manage your data effectively within the MIP® system. -
$1,400.00
$1,400.00Salesforce to MIP® (JV)
We facilitate the integration of Salesforce to import a Journal Voucher into MIP Fund Accounting®. This process allows the accounting team to initially record cash transactions with an offset to a suspense account. The import from Salesforce then effectively clears out the suspense account. This setup is customizable, and we are open to exploring other methods that might better align with the specific workflow and business rules of your organization. This flexibility ensures that our solution can adapt to your unique operational needs, enhancing both efficiency and accuracy in your financial management. -
$1,400.00
$1,400.00Memberclicks to MIP® (AR or JV)
Accounts Payable Invoice Imports
-
$700.00
$700.00Basic Accounts Payable Invoice Import (API)
This process involves providing a standard layout Excel template along with an associated definition file for importing data into MIP Fund Accounting®. Together, we work on the layout to determine which fields are necessary and which can be defaulted. Once the template is built and the definition file is in place, we proceed to train your team on how to perform the import into MIP® effectively. This hands-on approach ensures your team is well-equipped to handle the import process independently. -
$1,400.00
$1,400.00Accounts Payable Invoice Import with Script (API)
This process involves taking your current Excel layout template and adapting it into a format that can be imported into MIP Fund Accounting®, aligning with its specific business fields and rules. We don’t require you to change your existing processes at all. Instead, we work with the layout you are already using, which minimizes disruption for your team. Through scripting and the use of popup windows, we add any necessary fields, and format dates, amounts, and other required details to conform to MIP®'s business rules. We then create the associated definition file needed for importing the formatted file into MIP®. Once everything is set up, we provide training to your team on how to execute imports into MIP Fund Accounting® efficiently. This approach ensures a smooth transition and minimal learning curve. -
$1,400.00
$1,400.00Credit Card Statement Import (CD)
Credit Card Statement Import (AXP - PNC - BOA) (CD) -
$1,400.00
$1,400.00Bill.com to MIP® (API)
-
$1,400.00
$1,400.00DocuWare to MIP® (API)
We start by working with the standard layout of DocuWare. Once we obtain the file, we collaborate with you to determine several crucial aspects: how fields will align, which fields can be defaulted, and whether a mapping file is necessary. Following this, we develop a custom script that guides you through the process of creating a file equipped with all necessary fields for MIP Fund Accounting®. We then proceed to write a definition file that aligns with your specific file layout and is compatible with MIP®. Finally, we provide comprehensive training on how to import data into MIP Fund Accounting®, troubleshoot any issues that arise, and document the steps involved. This thorough process ensures that you are fully equipped to manage and maintain data integrity within your system.