Visma.net ERP
Funds transfers (CA301000)
Den här artikeln ger dig information om elementen du ser i det här fönstret i Visma.net ERP, till exempel fält, fältvärden, knappar och kryssrutor.
You use this window to transfer funds from one cash account to another, with related service charges applied, and to view the details of the recorded funds transfers.
Funds can be transferred between accounts denominated to different foreign currencies. The system performs currency conversion by using the base currency and the cash-in-transit account; no cross-rates are used. As a result of the transfer, the following transactions are generated:
- Transfer in: For the transfer of funds from the source account to the cash-in-transit account.
- Transfer out: For transfer of funds from the cash-in-transit account to the destination account.
- Expense entry: For additional charges associated with each transfer. If you enter related service charges on this window, they will be recorded as an Expense entry.

By using the elements in this area, you can specify all the parameters of a funds transfer, including source and destination accounts, currencies, and dates.
Element | Description |
---|---|
Transfer number |
The transfer number, as assigned by a numbering series. The numbering series for transfers is defined in the Cash management preferences (CA101000) window. |
Status | The status of the transfer, which is one of the following options:
|
Hold | A check box that, if selected, indicates that the transfer is on hold. You can clear the Hold check box only for balanced transfers. |
Description | A detailed description for the transfer transaction. An alphanumeric string of up to 30 characters may be used. |
RGOL | A read-only field that displays the difference between the amount in the base currency specified for the source account and the amount in the base currency resulting for the destination account, for cases when the source and destination currencies are different. |

Element | Description |
---|---|
Account | The account from which the funds are transferred. |
Transfer date | The date of the transaction. |
Cleared | A check box that indicates (if selected) that this transaction has been cleared. |
Currency | The currency of denomination for the source cash account. |
Document ref. | The reference number of the transfer in the bank. |
Amount | The amount of the transaction in the specified currency. |
Batch number | The identification number of the batch that updates the source and cash-in-transit accounts. |
Clear date | The date when the transaction was cleared in the process of reconciliation. |
General ledger balance | A read-only field displaying the balance of the source account recorded in the Redovisning for the financial period that includes the transfer date. |
Available balance | A read-only field displaying the balance of the cash account calculated in accordance with the options selected in the Receipts to add to available balances and Disbursements to deduct from available balances sections in the Cash management preferences (CA101000) window. |
Base currency amount |
The amount of the transfer in the base currency. |

Element | Description |
---|---|
Account | The account to which the funds are transferred. |
Receipt date | The date of the transfer receipt. |
Cleared | A check box that indicates (if selected) that this transaction is cleared. |
Currency | The currency of denomination for the destination account. |
Document ref. | The reference number of the transfer in the bank or other financial entity. |
Amount | The amount of the transaction in the currency of the destination account. |
Batch number | The identification number of the batch that creates related journal entries to update the cash-in-transit and destination accounts. |
Clear date | The date when the transaction was cleared in the process of reconciliation. |
Redovisning Balance | The balance of the target account, as recorded in the Redovisning. |
Available balance | The actual balance of the target account. |
Base currency amount | The amount of the transaction in the base currency. You can specify another exchange rate by using the currency controls. |

The table displays the list of cash adjustments that contain the transfer-related charges and expenses.
To add an additional charge, click Add expense.
You can edit the charges as cash transactions of the Cash entry type in the Cash account details (CA303000) window.
Upon release of the adjustment, a separate batch will be created for each line added to the table.
Column | Description |
---|---|
Cash account | The cash account to be updated by this transaction. |
Document ref. | A reference to an external document related to the transfer, the charges, or both. By clicking this reference number, the document details window opens. |
Doc. date | The transaction date. |
Description | A detailed description of the charge or expense. |
Entry type | The entry type of this charge or expense. |
Offset account | The general ledger expense account that will be updated by this charge or expense. |
Offset subaccount | The corresponding subaccount. |
Amount | The amount of the charge or expense. |
Currency | The currency of the charge or expense. |
Cleared | A check box that indicates (if selected) that this transaction has been cleared. |

Element | Description |
---|---|
Cash account | The cash account to be updated by this transaction. |
Entry type | The user-defined type of cash transaction. |
Doc. date | The date of the transaction. |
Fin. period | The financial period to which the transaction is posted. |
Currency | A read-only column that shows the currency of the cash account. |
Document ref. | The reference number of the corresponding external document. |
Amount | The amount of the transaction in the specified currency. |
Description | A detailed description of the transaction. The field is filled by default with the description of selected entry type. |
Status | The status of the transaction. |
Cleared | A check box that you select to indicate that this transaction has been cleared. |
Offset account | The general ledger account that is used by default as the offset account for transactions. The field is displayed if the entry type is set to Bank/likvidhantering. |
Offset subaccount | The offset subaccount used with the account selected. |
Save (button) | Creates a transaction with the specified details and closes the dialog box. |
Cancel (button) | Clears the dialog box elements and closes it without saving the transaction. |