导入到账套

支持导入的格式

使用Banana财务会计软件,可以从任何格式导入 (请参阅目前支持的格式列表)。如果需要导入的文件格式不在列表里,则可以开发特定的Banana财务软件导入应用程序

导入会计的命令

点击操作菜单 → 导入到账套的命令,可以导入下列数据:

  • 发生业务 - 从另一个Banana财务会计文件或银行对账单中传输发生业务。
  • 账户 - 从另一个Banana财务会计文件或文本文件中传输账户。
  • 增值税代码 - 从另一个Banana财务会计文件或文本文件中传输增值税代码。
  • 文件 - 传输一个完整的文件, 以转换会计科目表。

为了能够一次传输数据, 请参阅:

会计导入对话框

导入的操作流程

  1. 选择数据的目标表格。
  2. 选择要从中导入的文件类型。
  3. 指示出文件名称。
  4. 选择要被导入的业务。

目标表格

对于每种数据类型,都有其特定的页面:

导入格式

根据目标表格的类型,有不同的导入格式可供选择。

  • 从其它的Banana会计文件导入。
    准备转换文件中的数据。
  • 带标题的文本文件 (CSV/TXT)。
    对于创建的文件,以Banana财务会计软件要求的格式导出数据。
    关于如何准备这些文件的技术说明是英文的。
  • 默认文件。
  • 通过导入的扩展程序来进行导入。
    导入的扩展程序是Banana财务会计软件的一个附加程序,它可以将数据从一个格式中转换出来。
    用户必须安装相应的扩展程序。
    特定的导入过滤器

文件名

  • 需要被导入数据的文件名称要被指示出来。

从剪贴板导入数据

激活这个选项后,数据不是从文件中读取,而是从剪贴板中读取。
它用于从Banana财务会计软件不能直接读取的文件中导入数据,例如Excel格式的银行报表。

  • 用Excel打开带有数据的文件。
  • 选择要导入的数据,包括任何标题行。
  • 使用复制命令。

这个选项只显示于某些类型的导入。

UTF-8

选择要导入的数据是否为utf-8格式。

这个选项只显示于某些导入类型。

管理扩展程序...

此命令会将您带到管理扩展程序的对话框

使用它作为:

  • 搜索、添加或删除一个导入的扩展程序。
  • 改变扩展程序的参数。

也可以使用该命令来改变扩展程序的设置。

确定键

  • 开始导入

错误信息

如果在导入操作中出现了错误信息,首先要更新,然后导入扩展程序

从Excel文件中导入

可以用微软的 Excel 或其它电子表格程序来准备要导入的数据。

  • 在Excel中创建一个表格,其中各列都有一个英文标题,关于这部分,在面向开发人员的导入页面上 (英文) 有详细的解释。
    有两种格式:
    • 一个用于导入与发生业务表格完全相同的数据。
    • 一个用于导入报表。
  • 选择要导入的数据,包括标题行,并发出复制命令。
  • 选择收入/支出类型或带标题的列。
  • 勾选“从粘贴板导入数据”的选项。

 

Import transactions from ebanking

This page deals with the importing of transactions from bank statements, the most widely used and most useful feature, which allows you to automate the entry of transactions in the Transactions table.
Bank statement files are defined as those containing incoming and outgoing amounts on a single account. The import dialogue requires the entry of the account and the counterpart, and allows the use of the Auto-completion Rules.

On the other hand, in order to import from files that have other types of movements, e.g. from double-entry bookkeeping, please refer to the page Import Transactions (Generic). For these types of files, there is no possibility of applying the auto-completion rules.

Import procedure

  1. From Actions in the menu > Import into accounts > in the Import box select Transactions.
  2. Choose the file type to be imported.
    See explanations below.
  3. With the Browse button, choose the file from which you wish to import the transactions.
  4. Set the parameters as required.
    See also: Import into accounting.

dialogo importa in contabilità

Next Steps

Once OK is confirmed, the data is read and the following dialogues are displayed:

  •  Import transactions dialog
     Where instructions for completing the imported rows are to be given.
  • Apply rules (Advanced plan only)
    When importing, records can be stored so that the programme will automatically complete the transactions in all subsequent imports.

Bank Statement Import Formats

In the dialogue for importing transactions you can choose between different file types:

  • Import extensions for bank statements (the majority only with the Advanced plan)
    These are additional programs that must be installed by the user and that convert the data to be imported in the formats foreseen by Banana Accounting Plus.
    By using the Manage Extensions button you can install the extensions programmed for importing bank statements of different banks, credit cards and other formats.
    Once the extension is installed it appears in the Extensions menu ready for import.
  • Standard formats included in Banana Accounting Plus (Professional plan)
    These are standard formats that banks make available and are included in Banana Accounting Plus:
  • Generic format with Incoming and Outgoing Transactions TXT (Professional plan)
    This is a text file of the CSV type, which uses the tabulator as a separator and presents the incoming and outgoing amounts of an account as columns.

File name

You indicate a file or even multiple files separated by a semicolon ";".  You can also indicate a ZIP that contains multiple import files.

Import multiple files at the same time:

  • If your bank provides daily camt053, you can select all the files for the month and import them in one step.
  • If your bank provides a zip file, you can choose the file that contains all the statements.

The import files must, of course, be of the same type. You cannot import different formats together.

Import File Structure

The import file contains the typical movements of a bank statement:

  • Date
  • [transaction number] optional
  • Description
  • Incoming or outgoing amount.

When importing, the user indicates to which account the transactions are to be recorded, so that the Debit or Credit account is already created.
Import extensions can be created for any bank statement.
See Technical instructions for importing an Income and Expenses file.

Frequently asked questions:

I cannot see the format of my bank statement. What should I do?
Click onto Extensions menu > Manage Extensions... then on the Update Extensions button and enable the filter for the desired format.

I cannot see the format of the Postfinance xml statement (.tgz file). How can I import my movements?
This format is no longer supported. Please contact Postfinance and ask to receive your statement in ISO 20022 format.

I get the message "This ISO 20022 file does not contain a bank statement (camt.052/053/054)". How should I proceed?
This error message is displayed if the ISO 20022 file does not contain a bank statement. The ISO 20022 format is a generic format that can contain different types of information, such as bank statements and execution confirmations. In Banana Accounting Plus, it is only possible to import bank statements (camt.052/053/054).

My bank is not in the list of supported formats. Can it be added?
It is possible to create new extensions for formats that have not yet been implemented. Support for implementing custom formats is also available for a fee.

I can only import collective orders and cannot see the details (individual entries). Why?
In eBanking (e.g. Raiffeisen Bank), when entering payments, you must choose the option 'individual order' instead of 'collective order'. Only in this way are payments imported as individual orders.
 

Download bank transactions

To keep the company's accounting up to date, it is essential to regularly import bank transactions. These transactions allow the automation of the accounting process, avoiding the manual entry of individual transactions and potential errors.

Where to download the transactions

The documents containing the bank transactions, regardless of how they are obtained, should always be saved in the same folder. This folder can be located inside the main accounting folder or in an external one. For better organization, it is recommended to structure your folders by creating a general folder and more specific subfolders: this reduces the risk of errors, especially if you decide to import the transactions manually.

By keeping the data always in the same location, import issues are avoided and there is no need to update the default import path each time. Additionally, it is not recommended to open or modify these files before importing, as this can cause errors in recognizing the transactions.

Different file formats for bank transactions

Our software offers numerous extensions that allow you to import accounting data in different formats. Among the most common formats are CAMT, CSV and XLSX.

The CAMT format (Cash Management), defined by the ISO 20022 standard, is used by banks to provide electronic account statements in a structured way. The files contain detailed information such as the date, amount, description, and references for each transaction. There are several types of CAMT files:

  • camt.052: intraday statement (transactions during the day)
  • camt.053: end-of-day statement
  • camt.054: notification of debits and credits with details of individual transactions

The CSV format (Comma-Separated Values) is a text file that uses commas to separate the data contained within individual cells of a table. This format is compatible with most software applications. The CSV format varies from one bank to another and is updated regularly.

The XLSX format is a Microsoft Excel file used to store spreadsheets. The XLSX file can contain data, formulas, formatting, charts, and multiple worksheets within the same document.
 

Methods for downloading transactions

The main methods for obtaining these data are:

  • Online banking
  • Multibanking
  • Software by Mammut Soft Computing AG

Depending on the chosen method, more or less attention should be paid to where the files are saved. Manual download from the bank portal requires extra attention.

Online banking

The manual method, traditional and most common, involves direct access to your bank’s online banking portal. Once logged in, you can navigate to the section dedicated to account transactions and download the files in one of the standard formats compatible with accounting software.

Although simple, this process requires manual interaction: the user must log in to the banking platform, select the account, download and save the files on their computer, and then import them into the accounting software.

Multibanking

Multibanking is an evolution of traditional manual methods, designed for businesses or professionals managing multiple current accounts across different banks. Thanks to this functionality, you can access a single e-banking platform or interface that aggregates multiple accounts, even from different institutions, simplifying interactions with each bank. Most multibanking solutions are based on the international EBICS standard (Electronic Banking Internet Communication Standard), which ensures secure exchange of information and payment orders between companies and banks.

The main steps for implementing multibanking are:

  • Update the contract with the main bank
    The first step is to contact your main bank to request activation of the multibanking service. You will need to sign an addition to the existing contract that authorizes the bank to act as the manager of multiple bank accounts.
  • Sign mandates with the linked banks
    For each third-party bank you want to connect, you need to sign an authorization allowing the main bank to access the corresponding account information.
  • Technical activation and credential provisioning
    Once the contractual steps are completed, you will need to follow technical instructions to enable access via API or third-party tools. This may include providing credentials or activating specific authentication methods.

Once all banking relationships are connected, it becomes possible to centrally download bank transactions and data, and process payment operations from a single tool. Although still partly a manual process, multibanking helps optimize time and resources by reducing the number of logins and simplifying overall management.

Software by Mammut Soft Computing AG

A more modern and fully automated solution is offered by the software developed by Mammut Soft Computing AG. Once implemented, this system allows you to completely skip the manual step of downloading bank files, as they are automatically saved in a folder defined during setup.

The software focuses on data exchange interfaces between banks and companies, offering connections to multiple banks worldwide and securely and automatically retrieving bank data in the required formats. These data are then automatically synchronized with the accounting software, making user intervention unnecessary.

The steps to start using the Mammut Soft Computing AG software are as follows:

  • Choosing the solution
    Based on your needs, you can choose a cloud solution or an on-premise installation, the latter being a physical installation on the user's devices.
  • Configuring bank connections
    To configure and activate the bank connections, it is necessary to sign the corresponding bank agreements. These connections with banks (EBICS, SWIFT, API) allow downloading account statements and sending payments. Mammut provides support for activation with the banks.
  • Authorization for account access
    The client, for whom the accounting is managed, grants the accountant access to their data so that all necessary information is available.
  • Integration with accounting/management software
    The software is connected to the internal accounting or management system for automatic import and export of bank data.

The true added value of the software is the constant update of the accounting: automated downloads from all banks and direct synchronization with the accounting system ensure that the data is always up to date and ready to use.

Automated import and accounting

Once transactions are available, you can take advantage of the various features offered by Banana. Regardless of the method chosen to download the bank data, the “Import bank transactions in ISO 20022 format (advanced) [BETA]” function allows you to automate the update of the accounting in double-entry or income/expense mode using CAMT files (052/053/054). The program reads the XML files from a designated folder, saves them to a local database, identifies new transactions not yet recorded, and suggests them for import, avoiding duplicates.

Once imported, bank transactions are automatically transformed into complete accounting entries thanks to our auto-completion rules (Advanced plan), saving time and avoiding input errors. This makes accounting faster, more efficient, and more accurate.

导入发生业务的对话框

从往来账户或信用卡导入发生业务的步骤如下:

  • 点击操作菜单 → 导入到账套的命令,在导入框中选择发生业务
  • 选择发生业务的格式 (ISO 20022, csv)。
  • 点击浏览按钮,选择要导入的发生业务文件。

下面是对话窗,方便您更好地将数据集成到会计中。

从银行报表中导入资金的动向

目的账户

当从银行或邮政对账单或文本格式的账户进出记录中导入数据时,会出现这个选项。
输入与导入的对账单相关的会计科目表的银行账号。

选择发生业务

起始日期,结束日期

输入与恢复记录相关的期间的开始和结束日期。 可以使用日期下方的相应框自动选择期间。

如果存在相同的外部参考、日期、金额,则不导入

如果激活,该功能允许已经记录的动向不被导入,以避免重复记录。这个选项只有在 "外部参考文献 "一栏存在于要导入的动向 (文件) 中时才能激活,否则它将被禁用。

按日期排序

该选项默认处于激活状态,并允许按日期顺序导入发生业务。

完成业务

自动完成录入数值

该选项涉及增值税和多币种会计。如果激活,它允许您自动补全导入数据中缺少的值 (例如汇率表中的汇率)。

应用规则 (只适用于高级计划)

该选项仅适用于Banana财务会计+ 的高级计划开发版本,激活了在导入时应用自动化规则的可能性。欲了解更多信息,请访问自动化规则的页面。

初始账户编码

当从银行或邮政对账单或文本格式的账户导入记录中导入数据时,会出现这个选项。
这是分配给导入的第一条记录的文件号。

按发票号码对发生业务进行分组

如果导入文件包含发票文件列的值,在对话框中也将包含以下选项:

从发票文件中导入动向

  • 按发票号码的组业务
    在这种情况下,同一张发票的行数被分组,以便同一账户和同一增值税代码只有一个发生业务 (详见导入发票数据的英文页面信息)。
  • 目的账户余额差
    在使用增值税代码时,有可能存在几百分之一四舍五入的差额。
    在这种情况下,Banana财务会计软件会为每张发票创建一个额外的发生业务,用来记录差额。
    显然,必须注意为导入提供的数据在借方和贷方之间的余额。否则,发生业务行会包含借方和贷方之间的差额。

编辑导入的发生业务

软件会创建发生业务并将其添加到发生业务表的末尾。
可以编辑或删除发生业务。
在复式记账中,在应付账款和应收账款列中,以及在收益&费用记账中,在账户和科目列中,软件会输入符号。
符号必须被替换成适当的账户或科目。

  • [A]
    如果对话框中没有指出任何账户,则显示此符号。
    必须输入银行账户中的账户,而不是符号[A]。
  • [CA]
    这个符号表示必须在单元格中指明对应的账户,以便借方动向与贷方动向相抵消。

对于只有一个对应方的行,在同一行上同时存在交易对手的账户或代码 [A] 和代码 [CA]。
对于有一个以上对应方的行,每一行都会有账户或对应方符号[CA]。如果不标明符号[CA],就不可能分辨出该动向是借方还是贷方。

Import file ISO20022

Banana Accounting Plus allows the import of bank transactions in various formats. 
The ISO 20022 format is an international standard that should now be provided by all European banks. This format may also be called ISO xml, xml, camt.053, camt.054 or other names. Importing bank transactions in ISO 20022 format is possible in two ways:

Generic manual ISO20022 import

Manual import of transactions one file at a time - available with the Professional plan.

  • The user downloads the ISO 20022 file from their bank and saves it in a folder on their computer.
  • Then, from Banana, they manually import this file. 

This import is made possible by the extension Bank Statement Camt ISO 20022 Switzerland (Banana+) for Switzerland and a generic filter distributed with the application for other countries.
The import must be repeated manually each time.

Advanced ISO20022 import [Beta]

Advanced import of transactions from multiple files simultaneously - available with the Advanced plan.
It significantly speeds up the workflow because the user no longer needs to check for which periods transactions need to be imported.

  • The user defines a folder containing ISO 20022 files from different bank accounts.
  • In Banana, with a command, the program notifies if there are new transactions to be imported.

This new advanced import function is made possible by the extension Swiss Camt ISO20022 Reader.

Requirements

导入ISO 20022文件

ISO 20022是传输财务数据的国际标准。
CAMT类别重新组合账户报表使用的格式,报告账户业务和账户余额确认:

  • camt052: 账户报告
  • camt053 (包括第4版本): 账户报表
  • camt054: 信/贷通知

预览ISO-20022文件

Banana 财务会计软件为用户提供了预览Camt文件内容的可能性

数据导入当前会计文件

按照操作菜单 → 导入到账套的命令继续。
压缩文件也可以使用此功能打开。在这种情况下,程序将提示用户要选择从中导入压缩文件数据的文件。

关于转换ISO 20022的技术说明

ISO 20022 标准很准确地对银行报表的会计数据进行编码。然而,其也为插入关于账户及其活动的附加信息而留下了一定的空间。
当Banana会计软件读取文件的时候,其试图适应ISO 20022文件已经被预先安排好的方式。
  • 读取初期余额相似的编码
  • 读取期末余额相似的编码
  • 所有的内容都被读取并且在移动中被处理
    • 发生业务日期 (日期)
    • 货币日期
    • 发生业务金额 (正或负)
    • 摘要 (目前Banana会计软件把各种摘要整合成一个单一文本) 将来更具体的提取该信息,并且指示出需要被输入的列是可能的。
    • 区分单一行和详细行之间的业务。
      对于需要详细说明的业务,将会有一行为总额,以及将用于汇总的单独若干行。

各个国家的特异性

每个国家和/或银行都有可能根据自己的需要在ISO 20022文件中插入额外的信息。Banana财务会计软件提供了一个通用的过滤器和多个国家和/或银行特定的过滤器,以Banana扩展程序的形式发行。如果要将这些附加信息导入到您的会计中,您必须安装和使用最适合您国家和/或银行的扩展程序

Import bank transactions in the ISO20022 format (advanced) [BETA]

This new feature allows you to update your accounting by automatically importing bank transactions from Camt files (052, 053, 054). Thanks to this innovation, you can:

  • Accelerate the entire transaction recording process.
  • Reduce the risk of manual errors.
  • Avoid duplicates, since only transactions not yet present in your accounting are imported.

The program reads the Camt files from a selected folder, saves their content in a local database, and detects any new transactions not yet recorded. These are then proposed for import into your accounting, greatly simplifying financial management. Once imported, you can leverage auto-completion rules to further streamline your work.

This feature is currently in BETA version, available for experimental use with Banana Accounting Plus (Advanced plan) in double-entry or income & expense accounting. We welcome any suggestions and feedback to improve it.

Prerequisites

Data Preparation

Before starting the import, make sure you meet the following requirements:

  • Organizing Camt Files:
    Create a dedicated folder containing all the Camt (*.xml) files you want to import into your accounting.
    You can organize the files within the folder as you prefer, for example, by accounting year or by financial institution.
  • Access Permissions:
    Ensure that the selected folder is both readable and writable by the program. This guarantees the proper saving of data and import information.
  • Setting IBANs:
    For each account in the accounting file, make sure you have entered the IBAN in the 'BankIban' column of the 'Accounts' table.
  • Swiss Camt ISO20022 Reader Extension:
    Install the Swiss Camt ISO20022 Reader extension. This is required for the program to correctly interpret Camt files and start the import process.

First Use

The first time you use the "Import bank transactions (Camt ISO20022)" command, available under the Actions menu, the program will ask you to select the folder containing the Camt files. This choice will be saved, so that for subsequent imports the program will automatically use the same folder without asking for the path again.

Note that the first execution may take longer. The program must read, process, and save all the files in the folder, and it analyzes the content of each file. During this phase, a progress bar will display the current status of the operation, indicating both the percentage of completion and the number of files processed out of the total. The same progress indicator is shown both during the reading of the files from the folder and during the opening and reading of their contents.

On subsequent imports, the process will be much faster since the program will read and import only the content of new files, already knowing which data has been previously saved in the database. This way, future operations require significantly less time and ensure a smoother, more efficient workflow.

File Processing

Progress dialog

The processing of Camt files occurs in two distinct phases:

  • Reading Files in the Folder:
    In the first phase, the program analyzes the selected folder and identifies all the files present, adding them to the internal database. During this process, a progress bar is displayed, indicating how much of the file reading has been completed compared to the total number of files.
  • Reading the Content of the Files:
    Once file reading is completed, the program moves on to the second phase, in which it opens the files saved in the database, reads their content, and processes the data. In this phase, a dedicated progress bar is also shown, clearly displaying the percentage of completion and the number of files processed.

If, for any reason, one of these processes is interrupted, the program retains the data already saved. On the next import execution, it will automatically resume from where it left off, without having to start over. This ensures an efficient workflow and avoids repeating already completed processing steps.

Bank Transactions Import Dialog

The import dialog provides an overview of the processed files, the parameters used, and the transactions to be imported. You can modify the parameters in the dialog at any time, and the data will be recalculated immediately.

Folder Tab

Folder Tab

The “Folder” tab provides a general overview of the import, showing the currently selected folder, the files to be processed, and some options to filter the content.

  • Select Folder:
    Here you can view and modify the working folder path. The program constantly checks the validity of the selected path and, if the folder does not exist or is not accessible, it displays an error.
  • Renaming or Moving the Folder:
    If you change the folder’s name or location, remember to update the path in this dialog. The program stores the last used path and, if it cannot find it, will show a warning.
  • Renaming Files in the Folder:
    You can freely rename the files in the folder; the program does not rely on the file name but on its content. Even if two files have different names but identical content, the program considers them duplicates and will only import one of them.
  • Ignore Subfolders:
    By default, this option is enabled, allowing you to exclude the files located in subfolders. This is useful if, for example, you only want to import files relevant to the current accounting period, avoiding older or irrelevant data. If you disable this option, all Camt files in subdirectories will be included in the database, regardless of date or file organization.
  • Ignore Files Older Than...:
    If you set a date in this field, the program will not read the content of files older than that date. By default, files older than the accounting opening date are saved in the database but not analyzed. Adjusting this date allows you to further refine the time filter. If you enter an invalid date, the program automatically replaces it with the current date.
  • Read All Files:
    Clicking this button forces the immediate re-reading of all files in the folder instead of waiting for the normal daily check. This function is especially useful when you add new files and want to import them right away, without waiting for the next automatic update.

Bank Accounts Tab

Bank Accounts Tab

The “Bank Accounts” tab provides a detailed overview of all the bank accounts present in your accounting. For each account, the program shows both static information (such as the current balance in your accounting) and dynamic data, updated based on the latest imports.

Information Displayed for Each Account

  • Accounting Balance:
    Shows the current amount recorded in the accounting for that account.
  • Last Bank Balance:
    Displays the most recent bank balance detected directly from the Camt files. This lets you instantly compare the figure in your accounting with the actual bank amount.
  • New Transactions:
    Indicates how many new movements, not yet recorded in accounting, have been detected in the Camt files.
  • Total New Transactions:
    Shows the total monetary value of the new transactions to be imported for that account, helping you quickly assess the volume of pending operations.
  • Last Import:
    Indicates the date when the folder was last fully read, providing a useful time reference for when the last update occurred.
  • Status:
    • Updated: There are no new movements to import for this account.
    • New transactions: Unrecorded movements have been found, ready to be imported into the accounting.

Transaction Details Tab

Transaction Details Tab

In the “Transaction Details” tab, you will find all the banking operations identified in the Camt files that are not yet imported into the accounting, organized by account. This view allows you to quickly analyze pending movements, verify their relevance, and select which ones to import.

  • Selecting Transactions to Import:
    You can temporarily exclude specific transactions or, if you prefer, all those related to a particular account using the provided checkboxes. Excluded transactions are not permanently removed; they will be proposed again the next time you open the dialog, allowing you to reassess their import at any time. Currently, it’s not possible to permanently exclude a transaction.
  • Consider Only Transactions Starting from a Specific Date:
    To reduce the number of displayed movements, you can set a date from which to consider new transactions for import. By default, the program uses the accounting start date. By setting a different date, it will only display operations occurring after that day, ignoring previous ones. This function is particularly useful if, in the past, transactions were imported without a unique ID (ExternalReference column), typically when importing from CSV files. In these cases, simply set a date after the last recorded transaction to avoid re-proposing older movements. If you enter an invalid date, the program automatically replaces it with the current date.
  • Unique Identification of Transactions:
    Transactions from Camt files (052, 053, 054) should always include a unique ID as required by the ISO20022 standard. This identifier enables the program to accurately detect which movements have already been imported and which are new, reducing the risk of duplicates or errors.

Settings Tab

Settings tab

Settings Tab

In the “Settings” tab, you can manage some advanced aspects of the import process, including the possibility to restore the initial data state and define how to recognize already processed files.

  • Delete Saved Data:
    This function allows you to delete all data related to previous imports stored in the internal database. Once deletion is confirmed, you will be automatically redirected to the “Folder” tab, where the default values will be restored.
    • New Import: If you want to perform a new import after deleting the data, simply click on the “Read all files” button.
    • Limited Impact on Import Data: Deleting data from the internal database does not affect any information already present in the accounting.
    • Complete Database Removal: The command here only clears the database tables. If you want to completely remove the database, you must manually delete the “*.db” file in the selected folder.
  • Always Verify the Existence of Files Using Hashing:
    This option allows you to choose how the program identifies already processed files:
    • Hashing (slower): If you select this option, the program will compute a unique hash for each file, ensuring accurate duplicate detection even if names or paths change. However, this method can slow down file reading.
    • Check Name, Date, and Size (default): If the checkbox is not selected, the program simply compares the file name (including path), creation date, and file size to determine uniqueness. This approach is faster but may not be as robust in scenarios where files are renamed while retaining the same content.

Changing the accounting account assigned to an IBAN

It is possible to change the accounting account associated with an IBAN directly in the Accounts table.
However, if bank transactions for the same bank account have already been imported in the past using a different accounting account, it is necessary to delete the data stored in the database.

This operation can be performed from the Settings tab of the import dialog, using the Delete saved data button.
Afterwards, the data must be reloaded from the folder using the Read all files button, available in the Folder tab.

This procedure allows the program to recreate the correct associations between the IBAN and the accounting account according to the new settings.

Deleting the data from the database does not affect in any way the accounting data already recorded.

Database File

The program uses an SQLite database to store import-related data. The first time you activate this function, if the selected folder is valid, a database file (*.db) will be created in it.

It is important not to move or delete this file, as the program uses it as a reference for all subsequent operations. In case of loss or deletion, the program will generate a new .db file, forcing you to re-read and re-process all the files in the folder.

What is Saved in the Database?

  • File List:
    All the files detected in the folder are saved. If you have chosen to ignore subfolders in the settings, the files they contain will not be saved. This option is enabled by default.
  • Bank Accounts and Related Data:
    The database stores information about the bank accounts present in the accounting. If these data are modified in the accounting file, the database updates them accordingly.
  • Imported Transactions:
    Transactions found in the opened and read files are saved in the database, allowing you to reprocess or view them later without having to re-read the files.
  • Import History:
    The program records who performed the import operations, when they were executed, and with which software version, providing a detailed historical trace of activities.

Log File

During the import process, the program generates a log file to help identify and diagnose potential issues. In case of anomalies or unexpected behavior, the log file provides detailed information about the operations performed, aiding developers in understanding the source of the error.
If you need assistance locating or interpreting the log file, contact our support team: they will guide you step-by-step to find the file within your active directory.

Features currently not available

These features, requested by users, are currently not available:

Troubleshooting

If no transactions are displayed for import despite having selected the correct folder, check the following:

  • Bank Accounts: Make sure that the data related to bank accounts (including IBANs) in the “Accounts” table is complete and correct.
  • Accounting Period: Check that the currently set accounting period includes the dates of the transactions you want to import. If the transactions fall outside the defined period, the program will not propose them for import.

If the problem persists after these checks, contact our technical support for further assistance.

导入发生业务

导入的过程

  1. 点击操作菜单 → 导入到账套的命令 从下拉菜单中,选择导入发生业务。
  2. 选择要从中导入的文件类型 (现金日记账业务,复式记账账套的发生业务)。
  3. 使用浏览键, 选择要导入发生业务的文件。

会计导入对话框

要导入的文件类型

该程序提供各种数据转换器,可读取文件格式并将其转换为会计业务:

  • 从其它的Banana会计文件导入数据。
  • 从以Banana财务会计软件提供的导入格式导出的程序中导入CSV, TXT文件。
  • 从预定义的银行报表中导入。
  • 导入的扩展程序:
    • 从银行报表来看。
    • 来自其它文件类型。

关于所有类型的导入过滤器的信息都可以在Banana扩展程序的页面找到。

从其它的Banana财务会计文件中导入

在要导入的文件类型中,程序提供了一系列用于从其它的Banana财务会计文件导入数据的设置:

  • 从收益&费用核算中导入发生业务的动向。
    为了能够将发生业务从收益&费用会计文件导入复式会计文件中,收益&费用会计的账户和科目必须与复式会计的账户相对应。
  • 从现金账簿中导入变动。
    除了导入发生业务外,还允许按季度或月份进行汇总导入。
    请参阅从现金日记账文件中导入数据的页面。
  • 从复式会计中导入发生业务。
  • 为了将发生业务从一个复式会计文件导入另一个复式会计文件,账户必须匹配。
  • 导入折旧资产登记。
    从折旧资产登记的.ac2文件中导入发生业务。

导入Txt/CSV文件

这个格式必须用于从另一个提供与Banana财务会计所要求的导出格式兼容的软件导出数据。请参见:

这种类型的文件用于从其它程序导入数据,例如:

  • 从工资程序中导入每月记录。
  • 导入使用发票程序开具的发票。
  • 导入使用计费程序过账的付款。
  • 导入在线商店记录的销售额。
  • 从另一个会计程序导入数据。
  • 从现金管理程序 (例如餐厅或酒店) 导入数据。

从预定义格式的报表中导入

Banana财务会计软件为用户提供银行对账单的标准格式:

用导入的扩展程序来导入账户报表

导入的扩展程序是必须由用户安装的额外程序,它可以转换数据并将其导入 Banana财务会计软件中。

通过一些扩展程序可以从不同的银行、信用卡和其它格式导入银行报表。

要搜索和安装一个扩展程序:

  • 点击扩展程序菜单中管理扩展程序的命令。
  • 选择导入。
  • 将鼠标放在所需的扩展程序上,并点击安装

一旦该扩展程序被安装,它就会出现在对话框中。

选择要被导入的行

在选择了被导入的行之后,程序将出现一个窗口,在那里用户们也可以选择使用其它的功能。

从银行报表中导入动向

目的账户

当被导入的银行账户(或者邮政)对账单,或者一个账户的收益&费用发生业务是文本格式的时候,此选项将出现。
插入与被导入报表相关的账户表的银行账户号码。

选择发生业务

起始日期,结束日期

输入与发生业务转换相关的起始日期和结束日期。在日期区域下方的框中也可以自动选择期间。

不要导入如果存在相同的外部参考,日期,金额

一旦被激活,此功能允许用户不导入已输入的发生业务,以避免业务被记录两次。此选项仅在要被导入业务的"外部参考"列出现的时候才能被激活。否则此选项将被关闭。

按日期对发生业务进行排序

该选项在默认情况下是激活的状态,并允许您按日期对导入的发生业务进行排序。

使用以下方式来完成业务

自动完成录入数值

此选项只有在包含增值/营业税和多种货币的会计账户内是必要的,一旦被激活,其将允许在被导入数据中缺失的自动完成录入数值 (例如, 在汇率表格中的汇率)。

初始账户编号

当被导入的银行账户(或者邮政)对账单,或者一个账户的收益&费用发生业务是文本格式的时候,此选项将出现。
这是分配给第一个导入业务的文档编号。

按发票号码来组业务

如果导入文件中包含发票文件列的数值,以下选项也会出现在对话中:

从发票文件导入动向

  • 按发票号码来组业务
    在这种情况下,相同发票的行会被组在一起,这样一来,对于相同的账户和相同的增值税码来说就只有一个发生业务 (请查看导入发票日期的解释)。
  • 目的账户余额差
    当增值税码被应用的时候,可能存在几美分四舍五入的差异。
    在这种情况下,Banana会计软件会为每一个发票创建一个额外的发生业务,差异会被记录下来。
    当然,有必要注意被导入的数据要在借贷之间保持平衡。如若不然的话,发生业务行将在借贷之间包含差额。

编辑被导入的发生业务

程序会创建一些发生业务并把它们添加到发生业务表格内。
发生业务可以被编辑或删除。
在复式记账的会计文件中,程序会在借方列和贷方列添加一些符号;在收益&费用核算文件中,程序会将符号添加在账户列和科目列中。
符号应替换为合适的账户或科目。

  • [A]
    当对话框中没有指示任何帐户的时候,会显示该符号。
    您需要将[A]替换为相应的银行帐户。
  • [CA]
    当此符号出现的时候,您需要将其替换为适当的抵销账户,以便平衡借方业务和贷方业务。

在只有一个抵销账户的行中,您可以在同一行中同时找到 [A] 和 [CA] 的符号。
在具有多个抵销账户的行中,每行都将有其自己的 [CA] 符号。在没有符号-[CA] 的情况下,将无法了解其是借方业务还是贷方业务。

常见问题与解答

我看不到我银行对账单的格式
点击"管理过滤器...",再点击 "更新过滤器",并启用所需格式的过滤器。

我看不到邮政储蓄Xml账户对账单的格式(文件 .tgz)
不再支持此格式。请您联系邮政储蓄,并要求获得 ISO 20022 格式的对账单。

出现了下面的信息 '这个 ISO 20022 文件不包含银行对账单 (camt.052/053/054)'
当 ISO 20022 文件不包含银行对账单的情况下会出现这个错误信息的提示。ISO 20022格式是一种通用的格式,其可包含不同类型的信息,例如在Banana会计文件中的银行对账单和支付确认,只有银行对账单 可以被导入 (camt.052/053/054)。

我的银行不在所支持格式的列表中
为尚未生效的格式创建过滤器是可能的。我们也支持客制化格式的执行。

我只能导入集体订单,却无法看到细节 (个人订单)
当在电子银行执行付款操作的时候 (例如在 Raiffeisen 银行), 您需要选择 '个人订单' 的选项,而不是 '集体订单',通过此项操作您就可以导入个人订单的付款。

 

从现金日记账中导入数据

现金动向可以通过现金日记账与主会计文件分开管理。定期将现金流动情况导入主会计文件,并根据选定的时期进行分组。

在这种情况下,会有两个单独的文件:

  1. 一个包含一般会计文件数据的文件 (包括现金账户)
  2. 以及另一个只包含现金日记账管理数据的文件。

为了将现金数据整合到主会计文件中,必须在主会计文件和现金日记账之间建立一个链接。
可以通过以下两种方式进行 :

  • 在现金日记账文件中,赋予科目账户与主会计文件账户相同的数字 (复式记账或收益&费用核算)。
  • 在科目2的列 (科目表) 中输入在主会计文件中对应的科目。
    如果科目2的列栏尚不存在,必须通过数据菜单 → 列设置的命令来显示。

设立内部转账账户

在将现金数据导入会计文件的时候,需要进行一定的设置,以保证主会计的现金账户与从现金日记账文件中导入的业务之间不存在支付业务的会计分录重合。

主会计账套中:

现金日记账的文件中:

  • 科目表格中,科目列在收入的组中,输入内部转账账户 (与主会计中设置的数字相同) 作为从银行或邮政往来账户付款的科目。
  • 另外,在科目表格中,科目2列在收入的组中,输入内部转账账户。
    在这种情况下,在科目列中设置了一个科目来确定银行的付款。位于科目2列中的内部转账账户,在将业务导入主分类账时建立链接。

从银行账户到现金账户的付款

每当从银行账户向收银台付款时,该动向都记录在主会计文件和收银机文件中。为了避免从收银台导入数据时会计条目重叠,需使用内部转账账户。

  • 如果已在科目2的列中设置了转账账户,则使用转账账户作为科目或从银行账户进行支付的科目,将资金的收款记录在现金登记文件中。
  • 资金流出记录在主会计文件中,银行账户记入贷方,内部转账账户记入借方。

将现金登记数据导入主会计文件时,将重置转账账户。

导入现金登记数据

  • 打开主要的会计文件
  • 点击操作菜单 → 导入账套的命令
  • 在出现的对话框中,点击导入 → 选择发生业务选项 选择现金日记账分录 (*.ac2)
  • 然后使用浏览键来选择现金日记账文件。

从现金日记账中导入动向

您可以在导入到账套页面上找到关于下列窗口的更多信息。

从现金日记账中导入动向的选项

在会计账套中

目的账户

您必须选择现金的账户号,其存在于复式记账或收益&费用核算中,其中的变动要被导入。

初始账户编码

可以输入一个初始单据号,该单据号将归属于第一笔输入的发生业务。在随后的记录中,程序会自动分配一个递进编号,从输入的初始编号开始。
如果您不希望自动分配累进编号,请将该框留空。

选择动向

开始日期/结束日期 (包含在内)

输入导入的发生业务所涉期间的开始和结束日期。

组的动向

通过激活其中一个选项,可以选择如何对该时期的动向进行分组。

  • 没有期间分组所有行及其列内容均被导入。现金登记文件相应列中存在的记账凭证号也会被导入。
  • 如果要在会计中使用其它编号并同时保留文件的原始文档,请在现金日记账中将文档插入到议定书文件的列中。
  • 月度 - 发生业务按月进行分组。
  • 季度 - 发生业务按季度进行分组。
  • 半年 - 发生业务按半年进行分组。
  • 每年 - 发生业务按年分组。

一项业务一个账户

如果一个以上的科目被分组在单一账户内,但是用户需要为每个科目分离业务,那么此单元格必须被激活; 然后程序会为每个科目创建发生业务。当增值税码被使用的时候,发生业务不仅会被科目所创建,也会为在同一科目中的每个不同的增值税码所创建。

请注意

当用户在使用含增值税的会计文件时,增值税的计算可能会略有不同。如果发生业务金额作为净金额被插入,现金账户的余额也可能会因为四舍五入而不同。

会计文件随零用现金的数据更新。

在复式记账法中导入的现金日记账的动向

 

从Paypal中导入发生业务

PayPal的业务发生过滤器网页,可以看到关于介绍新功能的信息,该新功能可以将所有的PayPal发生业务直接导入到 Banana财务会计软件中,并对如何操作做了说明 (如下)。

我们已经为复式记和多币种记账准备了特定的预定义模板,用户可以将其作为示例查看,或将其作为仅由PayPal发生的会计业务而使用的独立会计文件。

更多的关于导入过滤器所有类型的信息,请参阅导入过滤器页面。

了解更多

导入账户

该命令从复式记账文件或收益&费用核算文件 (*.ac2) 或文本 (*.txt) 中导入账户,自动将其整合到当前的会计科目表中。

要从另一个文件导入账户,请按以下步骤进行。

  1. 通过操作菜单 → 导入到账套 → 导入一栏中选择账户
  2. 选择* .ac2或文本文件类型来导入账户。
  3. 通过浏览键,选择要导入账户的文件。

导入账户

通过激活以下选项,可将账户或科目纳入当前账户:

导入账户

选项

含成本中心

当有成本中心时,这些成本中心也将被结转。

添加新账户

当此选项被激活后,所有新的账户将被加到会计计划中。

替换文字摘要

如果已经存在的账户被导入,但是拥有不同的摘要,当此选项被激活之后,被导入的摘要会取代已存在的摘要。

替换初期余额

如果已存在的账户被导入不同的初期余额,那么当此选项被激活之后,被导入的初期余额会取代已存在的初期余额。

 

导入增值税码

此功能仅在含有增值税管理的会计文件中可用,并且允许其用户从以下方式中导入增值税码:

  • 其它的会计文件 (*.ac2)
  • 带有列标题的文本文件(文本文件 *.txt)
     

为了导入增值税码,请按照以下步骤操作:

  • 点击操作菜单 → 导入到账套的命令。
  • 导入一栏中的下拉菜单中,选择增值税码。
  • 选择瑞士:2018年新增值税 - 在下面部分,包含2018年新增值税码的文件将会自动显示。如果是其它国家的增值税代码,您必须选择包含您所在国家当前增值税代码的文件。
  • 点击确定。
     

导入增值税代码

  • 您会看到如下图所示的对话框。

在导入中添加或替换税码

添加新码和新组

如果选中此选项,新码和新的增值税组会被添加,且无需删除已存在增值税码表格内的那些代码。

替换所有行

如果选中此选项,现有的增值税代码表将被包含在指定原文件中的那个所取代。

请注意:

如果在导入后,收到了未找到增值税账户的错误信息,则必须在文件菜单 → 文件和账户属性 → 增值税标签中自动输入增值税的账户。

更新瑞士的增值税码

增值税管理

更多信息请参见增值税管理的页面。

 

导入文件

该功能允许您从另一个同类型的 Banana财务会计文件中导入数据。
 

要从 Banana财务会计文件中导入数据,步骤如下:

  1. 点击操作菜单 → 导入到账套的命令 → 在导入一栏的下拉菜单中选择文件。
  2. 选择* .ac2文件类型来导入数据。
  3. 通过浏览按钮,选择要导入数据的文件。

从Banana财务会计软件中导入文件

下面的对话框将显示几个选项,允许您决定从文件中导入哪些数据。

从Banana财务会计软件中导入文件

 

源文件

这是数据来源的文件。

目标文件

接收数据的文件。

选项

导入业务

出现在源文件中的发生业务表格中的所有行,都将被导入。

导入经常性业务

出现在源文件中的经常性业务表格中的所有行,都将被导入。

导入预算业务

出现在源文件中的预算表格中的所有行,都将被导入。

在账户表格中替换金额

初期的金额,预算的金额以及之前在目标文件中的账户表格内的列都会被删除,并且它们都会被在源文件中出现的金额所替代。

由于是同一个账号,账户需要相互对应。或者当有替代品出现的时候,转换账号的选项应该被使用。

替换账户属性 (基本数据)

目标文件的文件和账户属性会被源文件的文件和账户属性所取代。

转换账号

通过使用此功能,被导入的账户号将被在另一个可供选择的列中的账户号所取代。
如果您使用了此功能,那么您还必须指示出在导入时被使用的包含有账号的列,而不是现有的。
在账号列的旁边,应该有一列,该列会指出在导入时会被使用的替代号。如果没有指定另一个号码,那么源文件中的原始账号将被使用。

  • 账户匹配在源文件中
    此功能被使用的情况是: 例如当您把一个会计文件放在了一个国家里,其拥有一个特定的数字系统,然后您需要使用拥有不用数字系统的账户科目,定期的把您的发生业务表格导入到一个不同的会计文件中。
    • 您需要把一个新的文本列添加到会计计划中 (列设置命令)。
    • 对于每一个账户,指示出在表格中的目标账号。
  • 账户匹配在目标文件中
    比如在您想用一个新的编号和分组来切换到一个账户科目的时候,此功能会被使用。
    • 您创建一个含有新的账户科目的新的账户文件。 
    • 在账户科目中,您创建一个新的列,在那里您指示出账户匹配 (列设置命令)。
    • 在此列中,指示出源文件的账号。
      使用分号来分隔账户 "1000;1001" 指示出几个账户需要被分组到此账户中。
  • 列包含账户匹配 (账户表)
    指示出被用户添加的账户科目的列,以及包含账户匹配。

此选项用于从一个会计科目表切换到另一个会计科目表,以及需要将账目从一种编号转换到另一种编号的时候。

有关转换会计科目表更多的信息,请参见将数据转换至最新会计账套的页面。

结果和可能的错误

该程序会从以前的会计中获取所有的数据,并转换账号。

在程序指示出错误的情况下 (缺失账户或其它), 取消导入操作的可能是必要的, 完成账户匹配,以及重复导入操作。

该程序,查找不同的账户科目,不能自动执行扩展检查以确保所有导入的数据已被正确的分组。

因此如果出现了请手动检查结果的建议,请核实资产负债表和损益表的总数是否是正确的。

高级导入选项

对于不同的和更复杂的,以及自动化的转换需求,我们建议使用脚本,因为其可以实现转换和导入的完全客制化。

 

导入汇率

此选项仅在含汇率的复式记账中出现。其允许用户从另一个文件中导入汇率。

操作步骤如下:

  1. 点击操作菜单 > 导入到账套的命令 > 在导入一栏的下拉菜单中选择汇率。
  2. 选择文件类型*.ac2的历史汇率或文本文件。
  3. 通过浏览按钮,选择要导入数据的文件。

请留意: 汇率历史文件仅会显示外汇表格以及记录过去的汇率。

从历史汇率或文件的文字中导入汇率

会显示一个带有以下选项的对话框:

导入汇率

选择日期

窗口会列出最近使用过的更改了的日期。如果您选择了一个日期,程序将恢复在该特定日期上进行的更改。

备用汇率

在激活此选项后,汇率表中的所有汇率行都会被替换为导入的汇率行。

添加行

如果激活此选项,在汇率表中只有不同值的汇率行才会更新。