Configure the XML audit file conversion table
You can optimise the XML audit file for importing this file into other software packages.
If you are only using the XML audit file for the tax authority, this is not necessary.
The XML Audit file contains the account type, etc. In order to be able to import the XML audit file you generated in Profit into another package, it may be necessary to adjust the account type. In this way you ensure that the account type of the 'receiving' package is saved in the XML audit file.
To configure the XML Audit file conversion table:
- Go to: Financial / Reporting / Configuration / XML audit file conversion table.
Profit shows an entry window with a large number of software products and the account types they use.
- Look up the software package.
- For each Type of ledger account, select the corresponding Account type in Profit.
- Click on: Finish.
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