please assist how to create batch entries in journal as i tried to fill the format but its not uploading name of accounts payable or receivables.
please help
You need to illustrate this with screen shots.
You can not use journal entries to enter payments or receipts into a bank or cash account
You have to use a Payment or Receipt
You need to supply the keys/GUIDs instead of names.
You can refer to this post for reference.
@muqeetpuri, your subject and first post are incorrect. Your screen shot shows that you are not performing batch operations with journal entries. This is the Batch Create spreadsheet for receipts. I have edited your subject.
You probably have the wrong ID (that’s the string of hexadecimal characters) in the spreadsheet
The best way to do this, is to enter some receipt transactions manually and then do a Batch Update so that you can see exactly what you need to enter
Also, as you have not shown the edit screen of the transactions you created by batch create, we can not see what might be wrong. Post the edit screen of one of the receipt transactions
You have already been given the answer. Did you follow the links?
i followd but still im un able to solve the problem
Follow these steps:
-
Go to
Customerstab -
At the bottom right corner of the table, select the maximum pagination value (in my case it’s 94)
-
Press Batch Update button.
-
Press Copy to Clipboard button and paste in a spreadsheet.
You can use this data to lookup the key (the last column) for the specific customer you want to use in your batch operations.
Also @muqeetpuri don’t use ALL CAPS text because this is equivalent to shouting at someone.
I’m very thankful to u guys , and sorry for caps as it was just randomly caps on , you people helped me a lot and I’m very much thankful to u
Thank you dear
Thanks a lot
You can edit the post with the caps to no longer have caps.




