Help with manually importing bank transactions (not bank feed)

SOLVED

I am about to import hundreds of bank transactions to my Nominal ledger using a Journal Import Template. (Audit Trail template)

My question is what do I put in the Type column for the bank transactions? The BP will identify the debits in the expense nominal codes but what do I use in the Bank nominal code line to show the credit?

General Journals register the debit as JD and credits as JC - should I just treat the whole transaction as a general journal? 

Parents
  • +1
    verified answer

    This is not a Bank Feed question, I'm sure if the accounts were linked to the bank this situation would not have arisen.

    The Journal Import Template cannot be used for BP and BR journal types because they are reserved journal types that post automatically to the bank control accounts in Sage. My issue was resolved by using JD and JC in the import file.

    The Journal Import Template posts a general journal that needs all debits and credits to be specified. 

Reply
  • +1
    verified answer

    This is not a Bank Feed question, I'm sure if the accounts were linked to the bank this situation would not have arisen.

    The Journal Import Template cannot be used for BP and BR journal types because they are reserved journal types that post automatically to the bank control accounts in Sage. My issue was resolved by using JD and JC in the import file.

    The Journal Import Template posts a general journal that needs all debits and credits to be specified. 

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