I have experience with this and called Nate to let him know the differences
and how to overcome them. For the good of the group, I am posting here. If
anyone is curious about this subject, just give me a call. It would take
too long to get it in written form.
Cindy
Cindy Hicks
Manager of Database Services
University Advancement
(706) 507-8988
On Tue, Aug 6, 2019 at 1:10 PM Nathan.Laning <
Nathan.Laning@trnty.edu>
wrote:
> For those shops operating with Financial Edge NXT, how do you manage
> communicating budget reports at key intervals to various budget managers in
> your organization, sharing the remaining balance in certain accounts? We
> are pursuing a switch to NXT, and figuring out this step is a sticking
> point for us.
>
>
>
> Currently, we have an automated system that uses FE Queue to produce
> reports and place them in folders on shared drives, accessible by the
> budget managers. We’re self-hosted, so this all takes place on-site. We’re
> unsure how this would translate to a cloud environment, and have not
> received a great solution from Blackbaud yet.
>
>
>
> I’d love learning how your accounting departments handle this at your
> organization.
>
>
>
> Thank you,
>
>
>
> <http://www.trnty.edu/>
>
> *Nate Laning*
>
> Director of Advancement Services | Trinity Christian College
>
> 6601 West College Drive | Palos Heights, Illinois 60463
>
> <https://www.facebook.com/trinitychristiancollege>
> <https://twitter.com/trinitytroll>
> <https://www.instagram.com/trinitytrolls/>
> <https://www.linkedin.com/company/trinity-christian-college>
>
> 708.239.4822 |
nathan.laning@trnty.edu
>
>
>
>
>