You can use the spreadsheet import wizard to import data like account numbers, descriptions, groupings, and balance information.
Before you begin
You can use the import option to add new accounts to a client's chart or update existing ones.
The spreadsheet file you import needs to be in .XLS or .XLSX format.
For non-segmented clients that have accounts with subcodes, you'll need to format the spreadsheet column as text.
tip
For example, a client with an account mask of xxx-xx appears as 100 instead of 100-00 if the formatting for the column is set up to display as 2 decimals. Sub-accounts are retained when the column is formatted as a text column.
Make sure the spreadsheet is closed, remains closed during the entire import process, and is not password protected.
The maximum amount limit is 999,999,999.99 when importing balances into the chart of accounts.
Do the following steps to import a spreadsheet.
Sample spreadsheets
We've provided sample spreadsheets for you to download and review.
note
The sample spreadsheets are set up with commonly used columns and sample data.
You can modify the formatting, column, and data to fit your needs.
If you import the sample data into a live client record, delete the imported data when you're finished.
You can't import the Type column so map that column as
Not Used
.
Map spreadsheet columns
The Column Mappings screen displays the data of the selected spreadsheet. You can use this screen to map the spreadsheet columns to specific data fields.
Mark the checkbox in the Omit Row column for any column headings or rows of data that shouldn't be imported. The application won't validate or import data in that row.
Select a column heading in the grid and then choose the applicable mapping item from the
Column [X]
field.
note
If you map any budget columns and select the year option (as opposed to a specific period-end date) in the 2nd
Column [X]
field, the application equally distributes the amount among all periods in the current year. (For example, if you import a balance of $1,200 for a monthly client and select 2023, the application imports a $100 balance in each period for the account.) If you select a specific period end date from the 2nd
Column [X]
, the application imports the full budget amount into the selected period only.
Repeat step 2 for all applicable columns.
Select
Next
.
note
The application validates the spreadsheet. If there are any errors, you'll need to correct the data before moving on.
Map account classification codes
If you didn't map a column for Account Classification code, you'll get this screen. All new accounts must have a code assigned.
note
The codes and subcodes available are the ones you set up on the Account Groupings screen.
Choose import options
You'll get the Import Options screen only if you mapped at least one balance-based column. Use this screen to specify how the spreadsheet data should be imported.
Choose the Chart of Accounts import option:
Append to existing chart:
The application adds new accounts and their balances to the existing chart of accounts.
If the spreadsheet includes data for any existing accounts, the application updates data for those accounts with the new information.
Zero existing balances and import new balances:
The application adds new accounts and their balances to the chart of accounts.
If the spreadsheet includes data for an existing account, the application zeroes the balances for that account for the selected dates, and imports only the balances in the spreadsheet file.
If the spreadsheet does not include data for an existing account, the application zeroes the balances for that account.
Choose the balance report option:
Current period balances:
The application imports the balances from the spreadsheet directly into the period selected for the balance column.
Year-do-date balances:
The application calculates current-period activity based on existing prior-period balances and creates a journal entry with the net change for the period.
Select
Import
to begin the data import.
note
The application validates the spreadsheet. If there are any errors, you'll need to correct the data before moving on.
Review import diagnostics
You'll get import statistics on the Data Analysis screen. It shows a list of information that will be imported from the spreadsheet and the analysis results for the data.
Select
Back
if you need to make changes to any of the previous mapping and option screens.
Mark the checkbox next to an item and then select
Preview Selected
or
Print Selected
to get the diagnostic report for it.
Select
Finish
when you're satisfied with the data you'll import.
The Import Complete screen gives a summary of the information that you imported from the spreadsheet.
Review the diagnostic messages.
You can select
Print
for a report of the import results.
Select
Close
to close the spreadsheet import wizard.
note
The application creates an activity journal entry using the reference
AA99
on the Enter Transactions screen. If the spreadsheet includes data for multiple periods, the application creates one