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Integration with an accounting Service Provider allows you to automate two processed processes crucial for the financial data exchange and described in other documents of the section:

  1. Synchronization of the Chart of Accounts

  2. Sending data batches to the Service Provider.

Basically, this means, that all the data from the journals you have defines defined in the Accounting → Settings can be automatically and, in case of a need, manually collected for the synchronized chart of accounts and sent to the defined service provider.

This documet document describes the steps for the Integration set-upsetup.

Preconditions

  • You need to have an account with the Service Provider

    • Chart of accounts (or another list of accounts must be available at the Service Provider)

    • Your service provider has to support API export of the chart of accounts

    • Your service provider has to support API journal import

    • You need to know your credentials (Client id and Client secret)

...

  • Go to the Integrations

  • Enable the “Accounting” option

  • Select the service provider

  • Enter your credentials

How the Integration

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Affects the Accounting Functionality

The main changes are that

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