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Transactions
  • Accessing the Transactions Section in RunSensible
  • Creating an Internal Bank Account
  • Connecting a Bank Account Using Plaid via Settings
  • Mapping External Bank Accounts to Internal Bank Accounts
  • Importing Bank Transactions Using a File
  • ➤ Confirming the Internal Bank Account
  • Field Mapping and File Configuration
  • Data Verification Before Import
  • Bank Account Cards in the Transactions Section
  • Managing Bank Accounts Through the Actions Menu
  • Viewing and Processing Bank Transactions
  • Processing Bank Transactions
  • Categorize Transaction Panel
  • Matching Bank Transactions
  • Matching Views
  • Shared Features in Match Panels
  • Filtering Matching Records
  • Posted Transactions
  • App Transactions Tab
  • Cheque Printing

Transactions » Confirming the Internal Bank Account

Confirming the Internal Bank Account

After continuing, the system prompts the user to select the internal bank account that will receive the imported transactions. A dropdown menu displays all internal bank accounts currently configured within RunSensible. The user must select the correct internal account to ensure that the uploaded transactions are associated with the appropriate ledger structure.

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