Ledger set
The ledger set is the collection of ledger accounts (the chart of accounts) on which the reporting is based.
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Description
If you add a financial project from your own environment or from an environment of a contact, Profit automatically adds the ledger set. For its code, this ledger set takes the number of the contact for which the financial project is being created.
If you add a financial project and opt to import a trial balance, you first add the ledger set. In this case, you add an empty ledger set. You do not add any ledger accounts to the set or import them. During the import of the trial balance (addition of the financial project), Profit includes the ledger accounts in the selected ledger set.