Search HansaManuals.com HansaManuals Home >> Standard ERP >> Nominal Ledger >> Settings Previous Next Entire Chapter in Printable Form Search This text refers to program version 8.5 Bank Transactions This page describes the Bank Transactions setting in the Nominal Ledger.--- If your bank sends bank statements electronically, you can import them in to Standard ERP. After importing, you will be able to reconcile the transactions in the statements with transactions in your Standard ERP database. You can use the following methods to import your bank statements into Standard ERP:
You cannot add new records to the Bank Transactions setting yourself: they can only be created by the functions listed in the bullet points above. To view the records in this setting, first ensure you are in the Nominal Ledger and open the 'Settings' list by clicking (Windows/macOS) or tapping (iOS/Android) the [Settings] button in the Navigation Centre or using the Ctrl-S (Windows) or ⌘-S (macOS) keyboard shortcuts. Then double-click or tap 'Bank Transactions' in the resulting list. The 'Bank Transactions: Browse' window will be opened, listing the Bank Transactions already created. Double-click or tap a record in the list to view it. The 'Payment' card contains various reference numbers received from the imported bank statement, the Currency of the Bank Transaction and its value. The Type field will contain "C" if the Bank Transaction represents an incoming payment received into your bank account, or "D" if it represents an outgoing payment issued from your bank account. The 'Payer' card contains details of the bank account issuing the payment. If the Bank Transaction is a receipt, this will be the Customer's bank account. If the Bank Transaction is a payment, this will be your bank account. --- Settings in the Nominal Ledger:
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