Import C/M Transactions

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Cash Management Import Transactions is used to import cash activity into a special batch file without creating related g/l. Typically a separate g/l batch is imported which covers all related g/l transactions. This program works hand in hand with Post Imported Transactions.

Import Settings

  • Import File: Select the file (typically a .csv file). After import this file will be renamed with a .bk1 extension.
  • G/L Account: The cash g/l account being imported. This must match the account in the transaction records in the input file.
  • Batch ID: This is auto-created as IMP-{session_no} reflecting the current session number of this import program.
  • Batch Date: This is the date of the batch. The actual dates in the import file are assigned to the individual transactions.
  • File Contains Header: Check this if the first line of the file is a header record.
  • Transaction Amount Handling:
    • Trx Type: Use this when all amounts in the input file are stored (normally) positive and the transaction type indicates credit or debit handling. In this case checks and deposits are + in the input file.
    • Trx Amount: Use this when the amount in the input file are set as positive for debit and negative for credit. In this case checks are - and deposits are + in the input file.

Import File

The expected file should be a comma delimited text file (.csv)

Fields

  • GLAccount
  • TrxDate
  • TrxAmount
  • CheckNo
  • EntityId (optional)
  • Description (optional)
  • CheckMemo (optional)
  • VoidInd (optional)
  • DirDepositFlag (optional)
  • TrxType (optional)
  • Name (optional)
  • Address1 (optional)
  • Address2 (optional)
  • City (optional)
  • State (optional)
  • Zip (optional)