I am trying to import excel journal entries using a template (from exporting Journal Entry) but can not map the fields correctly. My understanding is there should be 2 lines entry one for credit and the other for debit. One field that I can't map correctly is "Match #" I think this should be the number used to identify each Journal Entry. Is this correct?
I get various error depending on the fields mapping.
Such as:
Error at row 0: "An error has occurred. The move (Draft Entry A1 JE101) is not balanced. The total of debits equals $ 0.00 and the total of credits equals $ 20.00. You might want to specify a default account on journal "Miscellaneous Operations" to automatically balance each move."
Error at row 1: "An error has occurred. The move (Draft Entry A1 JE101) is not balanced. The total of debits equals $ 20.00 and the total of credits equals $ 0.00. You might want to specify a default account on journal "Miscellaneous Operations" to automatically balance each move."
Any help would be great.
Thanks
Keith
Hi Dave,
Can you provide some images or a more complete google sheet?