Add accounting template for other deposit

Streamline your journal entry registration by adding your own accounting templates for other deposits.

  1. Go to Settings - Accounting templates.
  2. Select New accounting template.
  3. Add Name, Journal series, and Description.
  4. In the Scope of use field, select Other deposit.
  5. Add the accounts you would like to include in your template.

The 19-account you select on the accounting template determines whether it's available for matching on the account corresponding to the 19-account. For example, if 1930 is in the accounting proposal, the program will use the company account that has the 1930 account when matching the bank transaction to Other withdrawal.

  1. In the Formula fields, it is possible to build your own formulas by using the formula buttons above.

In the Field explanations below, you can read more about how to use the formulas including an example.

  1. Select Save.

Related topics

Add new ledger account
Add new accounting template
Add accounting template for purchase invoice
Add accounting template for other withdrawal
Accounting templates

Search word: accounting template, automatic entry