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Initiate reclassification and split
You can open the Reclassify transactions (GL506000) window in one of the following ways:
- By using the Account details (GL404000) window.
In this window, you select a general ledger account and, in the list of transactions posted to this account, the transactions that you need to reclassify.
You then click Reclassify on the window toolbar.
The Reclassify transactions (GL506000) window opens with the selected transactions displayed in the table.
(To reclassify all transactions posted to the selected account, you can instead click Reclassify all on the window toolbar.) - By using the Journal transactions (GL301000) window.
In this window, you select a required released general ledger batch, and in the Actions menu in the window toolbar, click Reclassify.
The Reclassify transactions (GL506000) window opens, displaying the transactions included in the selected general ledger batch. - Go to the Reclassify transactions (GL506000) window.
The Reclassify transactions (GL506000) window opens with no entries in the list.
To load the entries to be reclassified, you click Load on the window toolbar.
In the Load transactions dialog box that opens, you specify the parameters of the transactions to be uploaded to the window.
Once the transactions are uploaded, you can modify the details of each required transaction or of multiple transactions simultaneously.
(For details, see the next section of this topic.) - By using the Reclassification history (GL405000) window.
In this window, you can select the last transaction of the reclassification chain, and then click Reclassify on the window toolbar, which opens the Reclassify transactions (GL506000) window.
Transactions with a control account specified in any rows cannot be reclassified, so these transactions are not transferred to the Reclassify transactions (GL506000) window.
Parent topic: About reclassifying general ledger transactions
Related concepts
About reclassifying general ledger transactions
Process reclassification
About viewing and managing reclassification transactions
Related tasks
Reclassify general ledger transactions