This interface allows you to select the book and the accounting accounts that will be used to transfer your customers’ monthly Inexweb invoices to the accounting software.
If the settings have been correctly made, the invoice will be automatically entered in the accounting software, with the PDF of the invoice attached to the entry.
If the company is in cash accounting, you have the option of checking the "Is cash accounting ?" option. In this way, the monthly invoice will not be transmitted to accounting. |
Account selection
Go to your Portfolio
Select the “Company” section
Select the desired company
Go to the “Billing” menu
Then fill in the elements in the “Information” submenu, i. e. :
The Inexweb supplier account
The purchase book
The counterpart account
The VAT account*
As well as the desired transfer day
Save the changes by clicking on the “Save” button