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Buy now & saveHi, I'm using QB Enterprise Desktop. We receive multiple direct deposits from the same company into our bank account that I manually enter into OB. Is there a way of recording a batch deposit, but then breaking it down into multiple transactions for reconciliation purposes? It's just very tiring to enter one deposit, click "Save & New," and then have to change the date and memo again to enter the next transaction, and then repeat the process 4-5 times. But if I do it as one deposit, it makes reconciling very difficult since they're individual transactions in our bank account. Also, there is not an invoice or bill that these deposits are attached to in QB. Thanks!
Yes, there's a method to streamline this process, @lfinn1. However, this method applies only when importing your transactions from Excel or .CSV files via the accountant menu. Allow me to guide you through it.
To start, please note that the option to enter transactions by batch is unavailable in QuickBooks Desktop Enterprise, as this feature is exclusively found in QuickBooks Desktop Accountant. As an alternative, you can request your accountant to import your batch transactions on your behalf. Also, make sure that you create a backup file of your company to protect your data from any unexpected issues before proceeding with the steps below.
To enter your transactions in batches, here’s how:
For more detailed information, check this article: Enter transactions by batch in QBDT.
Moreover, you can refer to this article on reconciling your accounts to ensure they consistently match your bank and credit card statements: Reconcile an account in QBDT. This guide provides step-by-step instructions to help maintain accurate financial records.
My top priority is assisting you in breaking down your batch deposit into multiple transactions. If you need additional assistance, please leave a comment below. I'm here to support you and will respond promptly.
Thank you for you help, but I do not have the Accountant tab. Is it located somewhere else?
Thanks for getting back here in the Community, @lfinn1.
Currently, QuickBooks Desktop Enterprise does not support breaking down a single batch deposit into multiple transactions. Additionally, the reason why you don't have the option to the Accountant tab as this is exclusive to the accountant version of QuickBooks Desktop.
As an alternative solution, you can have your accountant handle the entry of batch transactions for you. Here's how:
Note: While QuickBooks does not support exporting batch transactions, you can copy multiple transactions from one company file to another, using them in conjunction with the enter batch transactions feature.
For more detailed information, you can check this article: Accountant tools: Batch enter transactions.
Additionally, after reconciling, you can choose Display to view the reconciliation report or Print to print it. You can find detailed information in this article: Reconcile an account in QuickBooks Desktop.
Moreover, for more information on the reconciliation process and to explore the reports you can generate in QuickBooks, please visit the following link: Fix issues when you're reconciling in QuickBooks Desktop.
Please let me know if you have further questions or concerns about managing your transactions in QuickBooks Desktop. The Community is always ready to circle back. Have a safe weekend ahead!
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