Before you can begin booking the transactions of your bank accounts through Embat, it is necessary to configure the account.
To initiate the accounting of transactions from Embat for one of your bank accounts, please follow the steps below:
- Access your Embat account through the following link.
- Enter your credentials: email and password.
- Click on the Settings icon located at the bottom left of the side menu and select Companies.
- Click on the company where you want to set up the bank account.
- Go to the ERP section, then select Products.
- You can see a list of all the banking products of your company. Find the one you want to configure and fill in the following fields:
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Account Code: Enter the account code from your chart of accounts for the bank account you want to set up.
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Start Date: Specify the date from which you want to start reconciling transactions in Embat. Transactions before this date will not appear in Embat's Accounting screen.
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Account Code: Enter the account code from your chart of accounts for the bank account you want to set up.
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- Save changes to begin accounting and reconciliation in Embat.
Note: the Accounting Balance is fulfilled automatically and you need to ensure the figure here matches the balance in your ERP's account.
IIf you have any further questions, please contact the Customer Experience team or submit a request through this link.
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