Connectivity Manual - Journals
Journals
File name: dagbk.csv
| 1
| adm-nr
| INT
| N6
| admdat
| Company
| *
| -
|
| 2
| journal-nr
| INT
| N3
|
| Journal
|
| -
|
| 3
| descr
| CHAR
| A25
|
| Description
|
| -
|
| 4
| abbrev
| CHAR
| A4
|
| Abbreviation
|
| -
|
| 5
| journal-type
| INT
| N2
|
| Type of journal
| *
| -
|
| 6
| trans-type
| INT
| N2
|
| Transit subtype
| *
| -
|
| 7
| deb-cred
| INT
| N2
|
| Subsidiary ledger
| *
| -
|
| 8
| vat-handling
| INT
| N2
|
| VAT handling
| *
| -
|
| 9
| bank-acc-nr
| CHAR
| A34
|
| Bank account
| *
| -
|
| 10
| postbank-acc-nr
| CHAR
| A34
|
| Postbank account
| *
| -
|
| 11
| block-entry
| LOG
| J/N
|
| Block entry number
| -
| N
|
| 12
| check-final-bal
| LOG
| J/N
|
| Check CloseBal/Diff
| -
| N
|
| 13
| block-date
| LOG
| J/N
|
| Block entry date
| -
| N
|
| 14
| acc-nr
| CHAR
| A9
| ledger
| Account
| -
| -
|
| 15
| empty
| -
| -
| -
| -
| -
| -
|
| 16
| acc-nr-transfer
| CHAR
| A9
| ledger
| Payments in transit
| -
| -
|
| 17
| curr-code
| CHAR
| A3
| curren
| Currency
| -
| Default currency
|
| 18
| change-curr
| LOG
| J/N
|
| Variable currency
| -
| N
|
| 19
| current-rate
| LOG
| J/N
|
| Variable exchange rate
| -
| N
|
| 20
| sceaction
| LOG
| J/N
|
| Scenario via action bar
| -
| -
|
| 21
| empty
| -
| -
| -
| -
| -
| -
|
| 22
| blocked
| LOG
| J/N
|
| Block
| -
| -
|
| 23
| descr-ml[1]
| CHAR
| A25
|
| Multi language description 1
| -
| -
|
| 24
| descr-ml[2]
| CHAR
| A25
|
| Multi language description 2
| -
| -
|
| 25
| descr-ml[3]
| CHAR
| A25
|
| Multi language description 3
| -
| -
|
| 26
| descr-ml[4]
| CHAR
| A25
|
| Multi language description 4
| -
| -
|
| 27
| descr-ml[5]
| CHAR
| A25
|
| Multi language description 5
| -
| -
|
| 28
| rec-seq-nr
| INT
| N5
|
| Reconciliation status sequence number
| -
| -
|
| 29
| date-rec
| DATE
| DDMMYYYY
|
| Date of reconciliation
| -
| -
|
| 30
| balance-rec
| DEC
| N15,2
|
| Balance of reconciliation
| -
| -
|
| 31
| ifall_block
| LOG
| J/N
|
| Block for changes
| -
| N
|
| 32
| bnk-curr-code
| CHAR
| A3
| curren
| Currency code of bank account number
| -
| -
|
| 33
| bal-after-entry
| DEC
| N15,2
|
| Balance after entry
| -
| -
|
| 34
| bank-acc-type
| CHAR
| A3
| bnktpe
| Bank account type
| -
| -
|
| 35
| postbank-acc-type
| CHAR
| A3
| bnktpe
| Postbank account type
| -
| - |
Clarification of the fields:
| 1
| This field is only a part of the import format, when the option 'Company number' is enabled. When this option is not enabled, this field should be skipped.
|
| 5
| This field must contain one of the following
values:
- Cash
- Bank
- Giro
- General
- VAT general
- Transit general
- Purchase
- Sales
- Settlement
|
| 6
| This field must contain one of the following
values:
- Purchases
- Sales
- Nominal
- Cheques printing
- Accruals
- Prepayments
- Transit
If you use 'Bill of Exchange' and the journal type is 'General' this field must contain:
- Yes
- No
|
| 7
| This field is only filled in case of a settlement
journal. It should then contain one of the following values:
- Debtor
- Creditor
|
| 8
| If filled, this field must contain one of the
following values:
- No VAT handling
- Purchases codes
- Sales codes
- VAT book
- All codes
|
| 9,10
| These account numbers must comply with the checks
involved in the type of account entered in the fields 34 and
35. |
Connectivity Manual - Contents > Data import > Finance > Journals
| Main Category: |
Support Product Know How |
Document Type: |
Support - On-line help |
| Category: |
On-line help files |
Security level: |
All - 0 |
| Sub category: |
Details |
Document ID: |
01.642.820 |
| Assortment: |
Exact Financials (v3)
|
Date: |
18-01-2007 |
| Release: |
|
Attachment: |
|
| Disclaimer |