Configure the ledger account for a bank

You add a bank account number to a ledger account if you also want to make entries directly to the ledger account when importing the bank statements. For example your phone costs. You add the bank account number of the creditor, your phone company, to the ledger account for phone costs.

You can only link this bank account number to one ledger account.

To configure the ledger account for a bank:

Add separate ledger accounts for: Tussenrekening PIN (asset account), Tussenrekening Creditcard (asset account), Commissiekosten (expense account), if you want to make entries directly in this ledger account when importing the credit card statements.

  1. Go to: Financial / Ledger / Ledger account.
  2. Open the ledger account properties or add a new ledger account.
  3. If you add a new ledger account, enter the following features:
    • Account number: should be in the range you have set in the administration settings
    • Type of account: Activa
    • Kind of account: Overige
    • Preference (Debit/Credit): Geen voorkeur
    • If necessary Reporting cockpit: Liquide middelen:
  4. Go to the tab: Bank account.
  5. Click on: New.

    Add the bank account number for this ledger account. You can only link this bank account number to one ledger account, otherwise Profit cannot determine the ledger account to be used for the entry. In Profit, a message appears if this bank account number has already been linked to another ledger account.

  6. Select the country of the bank.
  7. Select the IBAN check check box.
  8. Select the Preferred account check box if this is the preferred account where Profit should make entries.

    Select this check box if you want to specify one account number as the preferred account.

  9. Click on: OK.

See also:

Directly to

  1. Configure electronic bank statements
  2. Configure the bank statement settings
  3. Configure a bank ledger account
  4. Configure a bank statement journal
  5. Configure a voucher number counter for a bank journal
  6. Add a bank transaction code
  7. Add a bank transaction code with allocation
  8. Configure Equens payments
  9. Configure the reconciliation of bank statements by ‘BSN’