March 9, 2026
SaasAnt Transactions Desktop enables QuickBooks Desktop users to export deposits efficiently in bulk. This guide provides clear steps to export your deposits seamlessly.
Ensure you have administrative access to QuickBooks Desktop and a stable internet connection for the initial setup. Verify that your QuickBooks company file is open and updated to the latest version.
Before exporting deposits, set up the SaasAnt Transactions Desktop application.
Download: Visit the Saasant.com website and download the SaasAnt Transactions Desktop application.

Install: Run the installer file and follow the prompts to complete installation on your computer.
Connect: Launch the SaasAnt application, then connect it to your QuickBooks Desktop company file using the on-screen instructions to authorize data access.

Access the Export module in SaasAnt Transactions Desktop after connecting to QuickBooks.

Select Deposit as the QuickBooks transaction type to focus on deposit data.

Choose the date type with two options: Created/Modified Date or Transaction Date.
Created/Modified Date refers to when the deposit was originally entered into QuickBooks or last edited.
Transaction Date is the business date on the deposit itself (for example, the date the deposit was recorded).
Select a range using the custom date picker, or pick from quick options like Today, From yesterday, Last 7 days, Last 30 days, etc.
Use the default SaasAnt template for standard deposit fields.
To customize, click the “+” icon, select desired fields (for example: bank account, payment method, customer or vendor name, amounts, memo), name the template, and save it for reuse.
Filters help you precisely target specific deposits, reducing the dataset for faster exports and better focus.
Account: Select one or more bank accounts (for example, Checking, Savings, Petty Cash) to export deposits posted to only those accounts.
Customer: Filter deposits linked to specific customers when you need customer-level deposit tracking.
Employee: Filter deposits associated with specific employees when deposits are tied to employee activity in the file.
Vendor: Filter deposits connected to specific vendors when you want to review vendor-related deposits.
To apply a filter:
Choose the filter on the left, select the value, then click Add or Update Filter.
Your applied filters appear under Current Filter Choices.
To remove one filter, select it and click Remove Selected Filter.
To remove everything, click Clear Filters.
Customize the export output via settings to match your reporting or integration needs.
Date Format: Switch between formats like MM/DD/YYYY or DD/MM/YYYY for compatibility with other systems.
Show Customer or Vendor by Account Number: Display customer or vendor IDs instead of names for reference-based matching.
Show Transaction Lines: Include detailed deposit line items or export summary-level deposit data.
Show Account Numbers: Add numeric account codes alongside names for cleaner review and reconciliation.
Toggle settings on or off as needed.
Click Search to retrieve matching deposits based on your criteria. Review the preview before proceeding to export.
SaasAnt displays deposits matching your date range, filters, and settings.
Select your preferred format: Excel for spreadsheets with formulas or CSV for simple data import elsewhere.

Click Download to export the file to your computer. Verify the downloaded file contains all expected deposit data before use.

SaasAnt offers automated scheduling for regular deposit exports without manual intervention.
Provide a Report Name for easy identification.
Set Frequency as Daily, Weekly, Monthly, or use a Cron Expression for advanced scheduling.
Specify the export Time.
Choose Export Mode: Local folder, FTP or SFTP server, Email delivery, or Database connection.
Select the destination Folder and File Format (Excel or CSV).
Click Save to activate the schedule. Monitor scheduled jobs via the SaasAnt dashboard for status and logs.
