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Accessing the Tool

  1. To begin, open the Office Accounting Suite. Under System click on System Settings.

  2. Next click Partner Products then Reserve Gateway. Lastly, click Transactions.

Re-Import Batches

  1. Select the correct dates in the Date Range boxes and click Refresh.

  2. Select (in blue) the event batches that need to be updated.

  3. Click the gray trash can to remove the current data in Office.

  4. Click Refresh on the left side of the screen.

  5. Select (in blue) the event batches and click the Blue Down Arrow.

  6. The new information will then import from Reserve to Office.