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        Export / Import Budget Data Using Excel
        The general ledger application includes the ability to 
 export budget data to an Excel spreadsheet, update budget amounts, and 
 import the new budget data back into the system. 
         Prerequisites
Prerequisites
        
        
            
                - Prior to using the 
 export or import capabilities of the system, confirm that you have the 
 following setup completed. 
- Confirm that the 
 accounting calendar for the budget year exists on the Calendars 
 Tab. 
- Confirm that the 
 EntityCompany 
 exists on the Entities 
 TabCompanies 
 Tab. 
 
- Confirm that the 
 account numbers used in the chart of accounts for the EntityCompany 
 exist and that they are detail accounts to which posting can occur. Look 
 on the  Account 
 Maintenance Tab. 
- Confirm that the 
 budget version for the EntityCompany exists on the Budget 
 Version Tab. 
- Confirm that amounts 
 display for periods on the Budget Tab. 
 
- Confirm that the 
 appropriate users have permission to access the budget entry menu item. 
 
 
         Export 
 Processing
Export 
 Processing
        
        
            The Budget Export to Excel Tab displays when you 
 click Export from Excel on the Setup 
 Budgets Tab. Use this tab to export general ledger budget data into 
 an Excel spreadsheet. 
            When an export occurs, the system creates an Excel spreadsheet 
 with the following data: EntityCompany 
 ID, year, account number, account description, 12 budget column amounts, 
 and a total yearly budget amount. You can use this spreadsheet to edit 
 budget amounts.
         
         Import 
 Processing
Import 
 Processing
        
        
            The Budget 
 Import from Excel Tab displays when you click Import 
 from Excel on the Setup 
 Budgets Tab. Use this tab to import general ledger budget data using 
 an Excel spreadsheet.
            Import Processing
            When an import occurs, the system verifies the format 
 of the file. If the file format is correct, the system adds the spreadsheet 
 rows that pass to the database and displays the rows in the grid on the 
 Setup Budgets Tab. The account numbers 
 display in ascending order. When amounts differ, amounts from the spreadsheet 
 replace existing amounts in eFinancials. When an amount exists in eFinancials 
 and the spreadsheet includes no corresponding amount, the amount remains 
 in eFinancials. 
            Debit/Credit Signs
            The system keeps the budget values the same during 
 the import. Each account type will keep their respective positive or negative 
 values.
         
        See Also
        Budgets 
 Overview 
        Financials Concepts Introduction