The easiest way to get a GL CSV format template is to open any General Journal record and click on Export.

You can also download the template from this link: GL CSV Template.csv 

There are two sections in the exported csv file. They are the Header and Detail.

  1. Header row- This corresponds to the Post Date (Column B), Currency (Column C), Reverse Date (Column D)  and Journal Description (Column E) fields of the General Journal screen.


The word 'Header' is required in the A column so that system can determine if it is importing multiple journal records like what is shown below.

    2. Detail row(s) - This row consists of following columns: 

Account ID (Column A), Transaction Description (Column B), Document Date (Column C), Debit Credit Indicator (Column D), Debit Credit Amount (Column E), Units (Column F), Correcting (Column G), Line Number (Column H), Document (Column I),Comments (Column J) and Reference (Column K)



Header Line

FieldDescriptionRequired
Header

Identifier to separate multiple transactions - multiple transactions can be imported using

different headers.

Y
Post DateDate the transaction will be posted to the general ledgerY
CurrencyCurrency of the transactionY
Reverse Date

If you want to make this a reversing entry you can add a date - be careful if you are

importing historic data -as in a historic transaction set both the initiating and reversing entry

will be in the data set. So if you enter this date you may double post historic reversals.

N
Journal DescriptionDescription of transactionN



Detail Line


FieldDescriptionRequired
Account IDShould have a matching account id in the GL Account Detail | Chart of Accounts tab.Y
Transaction DescriptionThis corresponds to Transaction Description in the General Journal column gridY
Document DateThis pertains to Document Date in the General Journal column grid. Formatted as mm/dd/yyyy.
Debit Credit IndicatorThis is either D or C. D for Debit Amount and C for Credit Amount.Y
Debit Credit AmountWhen imported in Debit or Credit column of the General Journal depending on the  Debit Credit Indicator.Y
Units When imported in Debit Units or Credit Units  column of the General Journal depending on the  Debit Credit Indicator.Y
CorrectingThe value must be either “Y” or “N”Y
Line NumberThis determines the order of your journal line records.Y
DocumentThis is the Document column of the general journal screen.N
CommentsThis is the Comments column of the general journal screenN
ReferenceThis is the Reference column of the general journal screen.N



CSV File Format


Column

Data

Required

Length

Special Processing Notes:

A

Year


4

i.e. 2009    If column A and/or column B are left blank, the program

will use the date in column G to get the Year and determine

the Period.

B

Period


2

i.e. 04

C

G/L Account Number


17

Must be formatted as 99999999.99999999 or cross referenced in

the Account Translation Maintenance program.

D

Source System


3

If blank, the program will use “GJE” as the Source System.

E

Source Number


5

Numeric

F

Line Number


6

Numeric

G

Date


8

Formatted as YYYYMMDD

H

Time


8

Numeric, formatted as HH:MM:SS   If blank, the program will use

the system time.

I

Reference


25

Alphabetic

J

Document


25

Alphabetic

K

Comments


25

Alphabetic

L

Debit/Credit


1

The value must be either “D” or “C”.

M

Amount


13

Formatted as 9(10).99

N

Units


17

Formatted as 9(12).9999

O

Correction


1

The value must be either “Y” or “N”

Sample Import File

Import GL from csv sample.csv


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1 Comment

  1. Make sure the time is 00:00:00 - it needs a valid time