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GL Transactions Import Errors
The system provides the following error messages and
reports to help successfully import the GL Transactions.
Import Error Message
Prior to importing an XML file, the system examines
the file to confirm that the file is well formed. A well-formed file has
no missing characters or extra characters. When the system finds missing
or extra characters, it displays a detailed error message. To correct
the problem, you need to fix the problem in the XML file, and attempt
the import again.
Pre-Import Errors
Prior to importing, the system checks to see if the
import will cause the creation of a duplicate JE number. When this event
occurs, an exception report prints to inform the user of the issue and
to offer information on how to correct the problem.
Prior to importing intercompany transactions, the system
verifies that the source EntitiesCompanies
have been set up on GL Intercompany
Tab. If the system finds no setup, an exception report prints to inform
the user of the issue and to offer information on how to correct the problem.
GL Transactions Import Exception Report
If the import is not successful, a report detailing
errors displays in a PDF format and no records are imported. Use the print
capabilities of PDF to print the report. The report lists the name of
the field in the import file that is in error, the value of the field,
and the action required to correct the problem. The report can include
any of the following errors, depending on the report:
- Need to setup this
EntityCompany
in eFinancials.
- No blank accounts
can be imported.
- Account does not
exist for this EntityCompany/Account
in eFinancials.
- Account is not currently
active in eFinancials.
- Account must be set
to a type of detail in eFinancials.
- Post Period does
not exist in the calendar for this EntityCompany
in eFinancials.
- Journal date cannot
be used. This
date falls within a closed period.
- Journal date cannot
be used. This
date falls within a inactive period.
- There is no period
defined for the journal date. Check
your calendar setup.
- One or more EntitiesCompanies
in this journal is missing a G/L calendar. Check the EntityCompany
setup.
- Journal date is outside
your allowable posting range (User Policy Setup).
- Next JE Number in
Global Policies needs to be updated before importing
- Intercompany Setup
not found for this Source EntityCompany.
- Debits must equal
credits for all EntitiesCompanies
(Select Create Intercompany Transactions or Change Global Policy to Allow
Import of Incomplete JEs to process file)"
- Debits must equal
credits for this EntityCompany,
check GL Intercompany setup"
- At least one of the
EntitiesCompanies
in the import file is not valid for the Current Batch/EntityCompany
Restriction. Select a different batch or create a new batch to import
the file.
- AmtToGL must not
have more than two digits to the right of the decimal.
- EntityCompany
is set to not allow posting in EntityCompany
Setup.
- Track Unit must be
turned off for this Account No/EntityCompany
in GL Account Setup to import this file.
- Cannot import a journal
entry for a profit account type in eFinancials.
Note
GL transactions cannot be imported for accounts for which
the totals are tracked by unit (the Track Unit check box is selected on
the Account Maintenance Tab).
When applicable, the GL Transactions Import Exception report lists any
accounts which could not be imported for this reason.
See Also
GL Transactions Import Tab
Account
Import Tab
ADP
Import Transactions Tab
AP Transactions Import Tab
GL Budgets Import Tab
Deposit
Refund Import Tab
Vendor
Import Tab
Import
and Export Overview