Import grouping code assignments

You can import a file that contains account grouping assignments, map them to the appropriate columns, and then import them into the Balance. Follow these steps to create and map columns prior to importing grouping assignments into the trial balance.

  1. Open a project and click the Balance tab, and then click Import.
  2. File Source – Click My Computer or click Documents in Onvio, and then click Next.
  3. Select File – Choose the file to import using either of the following methods.
    • If you selected the My Computer option, browse to the location of the file to import from your local drive, select the file, and then click Open, or drag the file and drop it into the Import screen.
    • If you selected the Onvio Documents option, navigate to the file for the current project and select the appropriate file from the Onvio Documents location.
  4. Click Next.
  5. Define Data – Define the account records from the import file and map them to the appropriate accounts in Onvio.
  6. Click the appropriate worksheet above the grid (tab in the spreadsheet) from which to import account groupings and/or tax code assignments.
  7. Click Edit edit icon at the top of the appropriate column to open the Column Details panel.
  8. Select Account Grouping in the Column Type field.
  9. Select a schedule in the Grouping Schedule field.
  10. Select a grouping level in the Code Level field.

    Note: All related subcode levels for a selected grouping schedule are automatically made available for selection in the Code Level field.

  11. Click Save to insert the selected codes and/or subcodes into the appropriate columns.
  12. Click Done to complete the import.