This option allows you to import the transactions from a posted batch in the same Set of Books.

If you need to import posted batches from TurboCASH4 or a different Set of Books in TurboCASH5, you need to:

1.On the Setup ribbon, go to Export - Posted batches tab and create a valid export file in the Set of Books containing that batch. 

2.On the Action ribbon, go to Batch entry - F9:Process and select the Posted batches import option in the Set of Books you need to import the batch. 

To import a posted batch:

1.On the Action ribbon, select Batch entry (F2). 

2.Select a Batch type and click on the Open button. The "Batch entry" screen for the selected Batch type will be displayed.

3.Click on the F9:Process icon. The "Process the batch" options screen will be displayed.  

4.Select the Import a posted batch option, and click on the OK button. The "Reverse posted batch/document" screen is displayed:


5.View the details of the batch to make absolutely sure that it is the correct batch (journal). 

To view the details of the transactions in the selected batch (journal), you may:- 

Double-click on the selected batch (journal). 

On the Details tab, the transactions for the selected batch will be listed. (If you wish to print a list of the transactions in the posted batch, you may click on the Print button to print a Batch type - Posted batch report). 

You may also print the same posted batch type reports in Tools → Global processes → Reverse posted batch/document (Setup ribbon).

6.If you double-click, or select the Details option on the context menu, the following screen is displayed: 


7.All the details of the transactions entered or imported and posted (updated) to the ledger for the selected batch, will be displayed. Check that the selected batch (journal) contains the transactions which needs to be reversed or cancelled, and click on the Batch entry tab. 

Only those batches for the selected batch type will be listed.

8.Select a batch  and click on the OK button. All the transactions in the selected, posted batch will be imported into the selected batch. An example, is as follows:

batch-salesChange batch name (alias)Delete transactionsInsert tansactionsBalance the batch (journal)Post (update) transactions to the ledgerExclusive / Inclusive of Tax (VAT/GST/Sales tax)List the transaction in the unposted batch (journal)Batch processing optionsBatch setup optionsPosted batches tabFilter optonsLookup accounts in batches (journals)Balancing transactions (entries)