This guide describes the steps to set up and use CCC ONE with your accounting software. Use this guide after you have installed or upgraded to CCC ONE Total Repair Platform.
Complete the following tasks to ensure that CCC ONE and your accounting software work correctly.
Task | Description |
---|---|
Sales – Labor Accounts |
Add any custom labor accounts. The information you enter here affects sales reporting, workfile gross profit, and exporting to your accounting software. |
Sales – Miscellaneous Accounts |
Add any custom miscellaneous accounts. The information you enter here affects sales reporting, workfile gross profit, and exporting to your accounting software. |
Sales – Parts Accounts |
Add any custom part accounts. The information you enter here affects sales reporting, workfile gross profit, and exporting to your accounting software. |
Line Item Mapping Rules |
Add line item mapping values from the above Sales - (Labor, Miscellaneous, and Parts) Accounts that you created. |
Sales – Recognition |
Select the Sales recognition option. The information you enter here affects sales reporting, workfile gross profit, and exporting to your accounting software. |
Receipt – Types |
Add any custom Deposit receipt types and Adjustment receipt types. |
Top of Set up your profile Repair Management section for accounting |
Task | Description |
---|---|
Part Codes |
Set up Part Codes entries to match line item descriptions that you created in the Line Item Mapping rules. |
Task | Description |
---|---|
Delivered Not Closed | Select this option to Close or Cancel repair orders that appear in the list. |
Closed Not Delivered |
Selecting this action allows you to update the vehicle delivery for the selected repair order. Select the Update Delivery Date action from the mini-toolbar. |
Sales Not Exported |
Review the list of repair orders that appear in this screen. These are repair orders to be exported. Note any repair orders that are not to be exported. There are no actions that can be performed in this screen. |
Accounts Receivable | Select this action to review repair orders that appear in this screen. Use this screen to create New Receipts for the selected repair order. |
Receipts Not Exported | Review the list of receipts that appear in this screen. Use this screen to Edit or Void receipts. |
Vendor Invoices and Credits Not Exported |
Review the list of invoices and credits that appear in this screen to exported. Note any invoices or credits that are not to be exported. There are no actions that can be performed in this screen. |
Top of Review the list of transactions in the Accounting Dashboard (icon folders in the top panel) |
Task | Description |
---|---|
Start the Export to Accounting. | See Exporting Transactions to Your Accounting Software. |
Review all available transactions in the Overview tab. | Use this screen to select the transaction types that are to be exported. |
Review repair order sales in the Repair Order Sales tab. |
Options include Select All, Deselect All, and Never Export Line. Selecting the Never Export Line option removes the selected repair order from the list. The selected repair order will not be available for export again. |
Review receipts in the Repair Order Receipts tab. |
Options include Select All, Deselect All, and Never Export Line. Selecting the Never Export Line option removes the selected repair order receipt from the list. The selected repair order receipt will not be available for export again. |
Review vendor invoices in the Vendor Invoices tab. |
Options include Select All, Deselect All, and Never Export Line. Selecting the Never Export Line option removes the selected vendor invoice from the list. The selected vendor invoice will not be available for export again. |
Review vendor credits in the Vendor Credits tab. |
Options include Select All, Deselect All, and Never Export Line. Selecting the Never Export Line option removes the selected vendor credit from the list. The selected vendor credit will not be available for export again. |
Top of Review and manage transactions to be exported to your accounting software |
Task | Description |
---|---|
Making deposits |
Record deposits of one or more customer payments to your bank account. |
Paying vendor bills (invoices) and applying credits |
Pay outstanding bills and apply open credits that you have already entered into you accounting software. |
Applying customer payments to invoices |
Review and apply customer payments to open customer invoices. |
Reconciling Sales transactions |
Review and compare CCC ONE sales to your accounting software sales. |
Pay Sales Tax |
Review and pay sales taxes. |
Top of Accounting tasks to do in your accounting software |
Overview
© 2025 CCC Intelligent Solutions Inc. All Rights Reserved. |