1. The ability to import for Transaction Journal Entries and
2. the ability to do multiple "batches" for Transaction Journal Entries and each entry goes into their own batch.

I have to do two imports (Standard GL Import to post to GL and Standard Bank Deposit to post to the Bank Reconciliation) because the only way to import a TJ is by using the GJ import.

3. Also it would be helpful if we could import multiple batches for GJ Entries as well and each go into their own batch.

We are able to post multiple batches from a single import for AP, there must be a way to do it for TJ & GJ. Thank you

Comments

  • If you have Visual Integrator, you can import into a TJ