Language:

HansaManuals

Introduction to Settings in the Nominal Ledger
Account Classification Types
Account Classifications
Account Short Codes
Account Transfers
Accounting Periods
Auto Eliminations
Autotransactions
   - Entering, Inspecting and Changing Autotransactions
   - Example in Transactions and Simulations
   - Example in Purchase Invoices and Expenses
   - Example Automatic Autotransactions (Subsystem Autotransactions)
   - Deleting an Autotransaction
Bank Transactions
Brought Forward Balances
Budget Classes
Budget Keys
Calculation Formulae
Electronic VAT Declaration
Fiscal Years
Income & Expense Book
Liquidity Report Info
N/L Accruals
Number Series - Simulations
Number Series - Transactions
Presentation of Balances
Rate Gain/Loss
Rate Gains/Losses
Reconciliation Codes
Reconciliation Settings
Report Settings
Sub Systems
Sub-ledger Control Accounts
Tag/Object Type Control
Tag/Object Types
Tax Account Groups
Tax Accounts
Tax Reports
Tax Templates
   - Workflow and Examples
   - Workflow and Examples - Configuration
   - Workflow and Examples - Using a Tax Template in an Invoice
   - Workflow and Examples - Defining the VAT Report
   - Workflow and Examples - Selling a Tax-Exempt Item
   - Workflow and Examples - Selling to a Different Tax Jurisdiction
   - Workflow and Examples - Store Has More Than One Branch
Tax Transactions
Tax Trans Fields
Tax Trans Maps
Tax Trans Settings
Template Transactions, Template Transactions - Accounts
Transaction Settings
VAT Code Control
VAT Code on Transaction Rows
VAT Codes
VAT Declarations
XBRL Reporting Elements, XBRL Reporting Settings

Tutorials for Standard Accounts

Autotransactions

This page introduces the Autotransactions feature in the Nominal Ledger.

---

An Autotransaction is an accounting template that you can use to simplify the entering of Transactions of the same type. You can use Autotransactions in Transactions, Simulations, Purchase Invoices and Expenses.

When a certain type of Transaction occurs repeatedly, you can create an Autotransaction (i.e. a template) containing the recurring data, such as a particular combination of debit and credit Accounts or an assignment of Tags/Objects. Whenever you need to enter a Transaction of this type, you can use the Autotransaction to bring the recurring data (e.g. the debit and credit Accounts) into the Transaction . This will create a ready-made Transaction, except for the data that is unique for the particular entry. Examples might include rent payments, salary payments and recurring journals. Autotransactions can thus save labour and will ensure that you use the correct Accounts and/or Tags/Objects every time.

The Autotransactions feature is described on the following pages:

---

Settings in the Nominal Ledger:

Go back to: