Note
The import must be set up separately for each company.Note
You can skip individual steps at any time and complete the configuration at a later time in the NCP Imports Setup.camt.052 - Account Report | Specifies if and where the camt.052 - Account Report files can be imported and transferred
The following options are available:
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camt.53 - Statement | Indicates whether, and if so, where the camt.053 - Statement files can be imported and transferred.
The following options are available:
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camt.54 - Debit Credit Notification | Specifies if and where the camt.054 - return data files can be imported and transferred.
The following options are available:
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Custom | Specifies if and where the Custom Files can be imported and transferred.
The following options are available:
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Custom Formats Exists | Shows if custom formats are available. |
Trans. Posting Date | Specifies the value with which the entry date is to be filled when it is transferred to an general journal or to the bank account reconciliation.
The following options are available:
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Trans. Document Date | Indicates if and with what value the document date should be filled when it is transferred to an General Journal or to the Bank Account Reconciliation.
The following options are available:
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Trans. Document No. | Specifies if the document number is to be filled in, and if so, with what value when it is transferred to an General Journal or to the Bank Account Reconciliation.
The following options are available:
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Trans. External Document No. | Specifies if the External Document No. should be filled, and if so, with which value when it is transferred to an General Journal or to the Bank Account Reconciliation.
The following options are available:
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Trans. Description | Specifies if the description is to be filled in, and if so, with which value when it is transferred to an General Journal or to the Bank Account Reconciliation.
The following options are available:
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Trans. Amount | Specifies if the amount should be filled up with a value when it is transferred to an General Journal or to the Bank Account Reconciliation.
The following options are available:
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Trans. Charges | Specifies if the expenses should also be transferred to the General Journal or to the Bank Account Reconciliation. |
Source Code from Import | Shows the settings in the source code setup. You can click on the AssistEdit button and select an source code in the Trans. Payment Import to Gen. Jnl page. |
Source Code from Bank Acc. Reconciliation | Shows the settings in the origin code setup. |
Document No. Alloc. Accuracy | This can have an impact on automatic assignment of the customer ledger entry.
The following options are available:
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Fixed Account Allocations Exists | Indicates that fixed allocations to accounts exist.
Note This indicator is set automatically if allocations exist. |
Keep Account Allocations | Specifies that the account allocations are to be retained during automatic matching, even if no documents are found for matching. |
Show Analysis Window | Specifies whether a window containing detailed information about the matching should pop up. If you close the window with OK, the suggestion is copied to the journal line or the bank account reconciliation.
Note Use this indicator for information purposes only. To perform a application, this indicator must be deactivated. |
Matching Date Tolerance (Days) | If you specify a value here, the automatic bank account reconciliation lines will only suggest bank account entries for which the posting date does not differ further from the transaction date. |
Check Application Amount | Specifies whether the action Import Suggest Application in the journal should only suggest open journal lines where the remaining amount matches the amount from the import. With the fields Application Tolerance % and Max. Application Tolerance Amount you can specify a tolerance for this check. |
Application Tolerance % | Tolerance for the application in percent. The amount of the open entry can differ from the imported amount by the percentage in the field Application Tolerance %, but at most by the amount in the field Max. Application Tolerance Amount. |
FinanzOnline VAT Reg. No. Validation VAT Reg. No. validation via the Austrian FinanzOnline (FON) service. More information AppSource |