Visma Net
Set up an account for reconciliation
You can set up an account to be used to reconcile general ledger transactions in the Journal reconciliation preferences (GL30200S) window.
- Go to the Journal reconciliation preferences (GL30200S) window.
- In the Setting ID field, select the ID or enter a value.
- In the Description field, enter a name of your setting.
- Click to add a new line in the table below.
- On the new row, in the Account column, select which account you want to reconcile.
- In the Branch column, select which branch you want to use for your account.
Note: You can have multiple branches for one account. You cannot use the same branch twice on an account. - Click .
Related concepts
General ledger windows - overview
Related reports
General ledger reports - overview
Related windows