The Map Accounts window lets you compare the balances between the accounts in your selected ledger and the accounts in your client's ledger. Where the account balance varies between the accounts, an adjustment journal is created to align the balances. The system will map some of your general ledger accounts automatically, including those that have exactly the same balance as an account on the client's chart, where no other accounts exist with the same balance. The system may also suggest accounts you may want to map to based on the description and balances of the accounts. The Map Accounts window displays the account balances that appear in the selected MAS, Accounts, AO Classic General Ledger or import file to the left of the window, under Accountant's balances. This is where you map your accounts. To help you with this process, the accounts and balances that appear in your client's file are displayed to the right of the window under Client's balances. You can click Hide Client Balances tohide this panel. 
| Field | Description |
---|
A | Mapped status | Displays the mapped status of the account where: 
| B | Accountant's balances | Account code, name and closing balance from the selected MAS, Accounts, AO Classic General Ledger or .CSV file. | C | Map to | The mapped account code in your client's ledger that corresponds to the code in your accountant's ledger. | D | Client Account Name, Variance | The name of the account code mapped in your client's ledger and the difference between the balances in the accounts. This is the amount to be debited or credited to the common ledger. | E | Client's Balances | Your client's account code, name and closing balance. | F | Mapped to | The account code in your ledger that has been mapped to the client account. | G | Include zero balances | Displays all accounts, including those with zero balances. | H | Include automatically mapped accounts | Displays accounts that have been automatically mapped by the system. | I | Clear all mappings | Clears all mappings including automatic system mappings and any manual mappings made by you. | J | Restore default mappings | Clears any changes made to the mappings and restores the account mappings to its original state. | K | Split... | Map an Accountant’s balances account to two or more client accounts. | L | Add Account | Add a new account to your client's Account List. | M | Hide Client Balances > | Hides the Client's balances displayed to the right of the Accountant's balances. Where hidden, this button will change to Show Client Balances which, when toggled will re-display the client chart of accounts. |
|