To add accounts to a budget, you can import accounts from other budgets, the Income Statement, or the Balance Sheet.
To import accounts into a General Ledger Budget, complete the following steps:
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On the toolbar of the General Ledger Budgeting form, click
.
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On the Setup Budget Accounts dialog box, select the source of the accounts (another budget, the Income Statement, or the Balance Sheet).
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Select the accounts.
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If accounts are specified on the budget and you want to replace any duplicate account numbers/names when importing, click
Replace matching account numbers when importing.
You cannot have duplicate account numbers in a budget. If you do not select this option and Vision detects duplicates, the original account numbers or names are retained.
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Click
OK.
Postrequisite: When you import accounts, Vision does not automatically import the amounts currently on file for the accounts. You must complete the procedure in
Copy Amounts to the Current Budget.