Standard ledger accounts

Booking Experts uses a number of standard ledger accounts to generate financial overviews. You have the option to change ledger numbers to make them correspond to your own general ledger accounts.

Standard accounts:

1000CashBalanceCash payments
1010Bank suspense accountBalanceBank transfers
1020Cash card suspense accountBalanceDebit & Credit payments
1030PSP suspense accountBalanceFor payment service providers like Buckaroo. This is a suspense account registering payments that have come in through a payment service provider
1040Safe suspense accountBalanceMoney that is being deposited into the safe, from the cash registers
1300ReservationsBalanceFor reservation invoices (guest debtors)
1310ChannelsBalanceFor channel reservation invoices (channel debtors)
1320POS suspense accountBalanceThis is where the transactions of cash registers/POS are registered, until the POS is closed
1600OwnersBalanceFor owner rent settlements (owner creditors)
1700Pre-invoiced turnoverBalanceTo enable turnover being booked as income on the checkout date, rather than payment date
1800VAT payable lowBalance
1810VAT payable highBalance
2010SettlementsBalanceIs used to settle invoices in case credit invoices are applied to reservations
2020Paid by batchBalance
2030Vouchers in circulationBalance
2040Other administrationsBalance
2050AdvancesBalance
2060Security depositsBalanceHere, all paid deposits are kept
4300Security deposit damagesBalanceThe amounts deducted from security deposits through damage reports
Uncategorized paymentsBalanceAll uncategorised payments. This account should always be empty
4900Payment differencesProfit and loss
4910Cash differencesProfit and loss
8000Rent turnoverProfit and lossStandard account for rent turnover
Uncategorized expensesProfit and lossIf no ledger account is known for the item (bought from third party)
Uncategorized turnoverProfit and lossIf no ledger account is known for the item (sold to third party)