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Introduction
Repos
Sample CSVs
Journal Processing
Procedure
- Journal processing under the Import Transactions extension is currently the equivalent of a General Journal not a Debtors Journal or a Creditors Journal that may be found in other accounting software packages.
- You have probably noticed under FA...Banking and General Ledger...Journal Entry there is no provision for creating a journal matched to a specific customer or supplier.
- Hence, account codes relative to the General Ledger should only be used here.
- The Debtors Control account and Creditors Control account are General Ledger accounts and can be used in the extension. The person_id eg. 1 for Joe Bloggs and person_type_id eg. 2 for Customers (Supplier =1) are currently simply used to extract information ie. customer name from the database and put it into a memo.
- Currently supplier payments are allocated using the extensions Payment Processing not Journal Processing.
- Allocate receipts using the extensions Deposit Processing. The Sales Ledger is updated and the amount(s) await to be allocated under FA/Sales/Allocate Customer Payments or Credit Notes.
- If the Purchases Ledger is updated on import, then amount(s) await to be allocated under FA/Purchases/Allocate Supplier Payments or Credit Notes. This is where you will find evidence of the success of the import.
General Journal Processing
- Double entry using General Ledger Account codes.
- This implies the exclusion of Debtor and Creditor processing.
Sales Order / Sales Invoice Processing
- Import multi-line or single line sales orders/invoices from a csv/spreadsheet.
- Import either cash invoices (payment_id normally 4) or credit invoices (payment_id normally in the range of 1,2 or 3)
- Use the payment_id lookup tool to determine what id you will use.
- Cash invoices will generate a Delivery note, Sales Order, Petty Cash Payment, and Sales Invoice automatically.
- Credit invoices will generate a Delivery note, Sales Order, and Sales Invoice automatically.
- Templates are provided in the templates folder.
- Equivalent to Debtor/Customer Journal Processing.
Purchase Invoice Processing
Bank Statement Processing
Procedure
- Download your bank statement in csv format.
- Typically your bank statement csv will have 4 columns, from left to right, namely; date, memo, payment, and receipt.
Preparing your spreadsheet
- Your first spreadsheet column should be a reference.
- The next four columns should be your bank statement's columns namely date, memo, payment, and receipt.
- Verify that the date format in your csv corresponds to the date format used in Front Accounting.
- This setting can be verified under Setup->Display Setup->Dateformat and Separators.
- Add additional columns namely account code, taxtype, dim1ref, dim2ref, person_type_id, person_id, Branch_No
- Account code: eg. 4000 Sales which can be retrieved using the extensions lookup tool.
- Taxtype: eg. 1 VAT 20% Which can be retrieved using the extensions lookup tool.
- Dim1ref and dim2ref if you are using cost centers. Normally left blank.
- Person_type_id can only be either 1 or 2. Customer = 2, and Supplier = 1.
- So if an amount is in the payment column you will normally have a 1 in the person_type_id column,
- and if an amount is in the receipt column you will normally have a 2 in this column however
a reimbursement from a Supplier for an overpayment to a Supplier can be processed so a 2
can appear under person_type_id if an amount is in the deposit column.
- Person_id is a Customer or Supplier specific number that is retrieved using the lookup tool.
- Branch_No is the customer branch.
Using the Extension
- If bank statement check box is checked it means:
- You are using the above prepared two amount column spreadsheet.
- You will have to process your prepared spreadsheet/csv once with 'Deposit Processing' so that Deposits only are processed
and a second time with 'Payment processing' so that Payments are processed.
After using the Extension
- The Sales Ledger has been updated and the amount(s) await to be allocated to an invoice under Sales/Allocate Customer Payments or Credit Notes.
- The Purchases Ledger has been updated and the amount(s) await to be allocated to an invoice under Purchases/Allocate Supplier Payments or Credit Notes.
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