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Integration with an accounting Service Provider allows you to automate two processed 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 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 describes steps for the Integration set-up.

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