Visma Net
Journal transactions (GL301000)
This topic gives you information about the elements that you find in this window in Visma Net, such as fields, field values, buttons, and check boxes.
By using this window, you can do the following:
- View batches containing journal transactions created by different system workspaces.
- Directly enter journal transactions intended to update the General ledger account balances. Direct entering is allowed only in the General ledger workspace.
- Create special batches for which recurring and auto-reversing journal transactions will be generated.
If you are in the list window, the first line in the table is a search line. Each column has a search field which you can click to search for or filter on specific values and narrow down the displayed table rows. You can search and filter in as many columns as you need to, to only display the results you want to view.
There are two types of search fields:
- White: here you can type a specific search term to display results in this column containing this exact value. If you search on several (partial) words, you can separate them by a space or % and get different results:
space: the result contains the words in any order,
%: the result contains the words in the specific order, and the % functions as a wildcard as well.
- Grey: you can click this to open the column filter pop-up window where you can filter the results for this column.
Button | Description |
---|---|
Release | Initiates the batch release process and changes the batch status to Unposted or Posted, depending on whether the Automatically post on release option has been selected in the preferences window of the appropriate workspace. |
Actions | Provides the following menu commands:
|
Reports | Includes the following menu commands you can click to generate reports:
|
This part contains summary information about batch transactions, such as the financial period, the posting ledger, the batch date, the workspace where the batch was created, the debit and credit totals, and the currency of the transactions.
Element | Description |
---|---|
Workspace |
The workspace where the batch originates. New batches can be created only for General ledger. |
Batch no. |
The unique ID of the batch, which is generated by the number series assigned to batches in the General ledger preferences (GL102000) window. |
Status |
The current status of the batch. The status defines what
processing can be applied to the batch. The following options are
available:
|
Hold |
A check box that indicates (if selected) that the batch has the
On hold status and cannot be released or posted. You can clear the check box only if the batch has total debits equal to total credits. |
Transaction date |
The date when the batch was created, which relates to the
transaction dates of the journal entries as follows:
|
Post period |
The financial period to which the transactions should be posted.
The system supports posting to closed financial periods if the Allow posting to closed periods check box is selected in the General ledger preferences (GL102000) window. Closed financial periods do not appear in the list of financial periods, so a closed period can be entered only manually. |
Description |
The description of the batch. |
Branch |
The branch to which this batch is related. |
Ledger |
The unique ID of the ledger to which batch transactions
are posted. By default, it is the default posting ledger specified for the branch in the Inter-branch account mapping (GL101010) window, but another posting ledger can be selected. |
Currency |
The currency used for all the journal transactions in the
selected batch. By default, it is the base currency defined for all branches in the Branches (CS102000) window. |
Automatic reversing |
A check box that indicates (if selected) that the batch is
auto-reversing. For such a batch, the General ledger workspace automatically creates a batch that reverses the original debit and credit transactions into the next financial period (that is, the debit entry is reversed and becomes a credit entry, and the credit entry is reversed and becomes a debit entry). Such batches are used
to reverse period-end adjustments. |
Reversing entry |
A check box that indicates (if selected) that the batch is a
reversing batch. The Orig. batch number field displays the ID of the batch that was reversed by this batch. |
Trans. code |
The code of the transaction. This field is displayed if the Journal voucher option is selected in the Enable/disable functionalities (CS100000) window. |
Type |
The type of this general ledger batch, which is specified by the
system automatically. A general ledger batch can be one of the following types:
|
Orig. batch number |
For a scheduled or auto-reversing batch, the reference number of the batch used as a template. |
Reversing batches |
The number of reversing batches for the selected batch. The field is not displayed if there are no reversing batches. Clicking the number navigates to the Reversing batches (GL690010) (GL690010) report, which displays details of reversing batches. |
Debit total |
The total of transaction debit amounts for the batch; the value is calculated automatically. |
Credit total |
The total of transaction credit amounts for the batch; the value is calculated automatically. |
Control total |
The control total of the batch, which is used for batch status
validation. The batch can be posted, released, or scheduled only if this amount is equal to the Debit total and Credit total amounts for the batch. To disable this control, clear the Validate batch control totals on entry check box in the General ledger preferences (GL102000) window. |
Create VAT transactions |
A check box that indicates (if selected) that a VAT-related
transaction can be created manually; select this check box when you
begin to create the transaction. When you select this check box, the
VAT ID and VAT
category columns appear in the table area on this
window. If this check box is selected, the Skip VAT amount validation check box appears in the top part of this window. Note that it is not possible to enter both purchase and sales VAT in the same batch, and VAT IDs having the artially deductible VAT set cannot be used. |
Skip VAT amount validation |
A check box that (if selected) causes automatic validation of a VAT-related
transaction that you create manually to be skipped. It is recommended that you leave this check box clear so the system performs VAT amount validation. If the VAT amount validation is skipped (this check box is selected), the system does not warn you if the manually entered VAT amount does not match the taxable amount of a transaction, which may cause errors in the appropriate VAT report. |
The table contains the list of journal entries and their details.
Each row defines
one journal entry, and a single journal entry specifies only a debit or credit
amount.
For the batch to be posted, total credits for all journal entries in the
batch must be equal to total debits.
Button | Description |
---|---|
View source document |
Opens the document based on which this batch was generated. This button is active for batches originating in workspaces other than General ledger. |
Reclassification history |
Opens the Reclassification history (GL405000) window for the selected transaction. This button is available only if a reclassified transaction is selected in the table. |
Column | Description |
---|---|
Branch | The branch associated with this journal entry. |
Account |
The account (associated with the specified branch) whose balance
will be updated by the journal entry. NOTE: |
Description |
A detailed transaction description provided by a user or generated by the system. |
Subaccount |
The subaccount used with the account to detail a journal entry. |
Project |
The project with which this batch is associated, or the code
indicating that this batch is not associated with any project. The non-project code is specified in the Project accounting preferences (PM101000) window. This column appears only if the Projects workspace has been enabled in your system and integrated with this workspace. |
Project task |
The particular task of the project with which this batch is associated. This column appears only if the Projects workspace has been enabled and integrated with this workspace. |
Ref. no. |
The reference number of the external or internal document associated with the journal transaction. Journal entries related to the same document should have the same reference number specified. The documents reference numbers must be specified for VAT-related
journal transactions. If the reference number of the external document has been manually specified for a journal transaction, the document can only be opened if it originates from workspaces other than General ledger. |
Quantity |
Optional. The quantity of items associated with the transaction, if relevant. |
UoM |
Optional. The unit of measure for items associated with the transaction, if relevant. |
Debit amount |
The debit amount of the journal entry. You can specify only a debit or a credit amount for a single journal entry. |
Credit amount |
The credit amount of the journal entry. Again, you can specify only a debit or a credit amount for a single journal entry. |
Transaction description |
A description of the transaction or any comments relevant to the transaction. |
VAT ID |
The VAT used to calculate the VAT amount; this column appears if the Create VAT transactions check box is selected in the top part. The VAT is entered automatically by the system when you select an account in the Account column (and the subaccount in the Subaccount column, if applicable) associated with a particular VAT. You can overwrite the default value. Note that a VAT ID having partially deductible VAT will not be available in this module, you have to use Purchase invoices (AP301000) or Transactions (CA304000) window. |
VAT ID description |
The description of the VAT ID. |
VAT category |
The VAT category based on which the taxable amount is calculated; this column appears if the Create VAT transactions check box is selected in the top part of the window. This VAT code is entered automatically by the system if you select an account in the Account column for which a particular VAT category has been defined in the Chart of accounts (GL202500) window. You can change the default VAT code. Note that a VATcategory having partially deductible VAT will not be available in this module, you have to use Purchase invoices (AP301000) or Transactions (CA304000) window. |
VAT category description |
The description of the VAT category. |
Non-invoiceable |
A check box that indicates (if selected) that this transaction
is non-invoiceable in the project. This column appears only if the Projects module has been enabled and integrated with this workspace. |
Reclass. batch number |
The number of the reclassification batch that was generated for
the selected general ledger transaction. This number is displayed only for a transaction that has been reclassified. |
Orig. batch number |
The number to the original general ledger batch based on which the selected Reclassification batch has been generated. |
Transaction date |
The date when the transaction was generated, which the system
fills in as follows:
The date specified in this column is used for the transaction in Visma Net reports. |
Customer/Supplier |
The customer or supplier specified in the transaction. |
Ledger |
The ledger for the posting. |
Line no. |
The line number in the batch. |
Item ID |
Shows a link to the stock or non-stock item. |
Related concepts
General ledger windows - overview
Related reports
General ledger reports - overview
Related windows
Translations history (CM401000)
Translation definition (CM203000)
Revalue general ledger accounts (CM506000)
Translation worksheets (CM304000)
Release translations (CM502000)