Repeat Journal

Table of Content


Repeat Journals

Repeat Journals are transactions you save as a template that can be retrieved and used again. This feature is ideal to use for repetitive transactions that occur several times in a period or year since it eliminates the need to create journal transactions every time.

You can create templates of Repeat Journals for transactions that are the same each month, such as rent, and also for repetitive transactions that only vary by amount. In the case of varying amounts, you can create a template with $0 (zero) transaction amounts and enter the actual figures after you retrieve the template. If you know the exact amounts, you can create a template with the known amounts. Either way, you can make any necessary modifications when creating the transactions using the template.

The most efficient way to process your Repeat Journals if you know when the transactions will occur ahead of time is to schedule the transactions. Scheduling your Repeat Journals automates retrieving the templates into the journals for processing. When scheduled, your Accounting Staff can quickly and easily process the transactions directly from a reminder they receive.

The Repeat Journals List

Menu Path: Accounting/ Finance > Transactions > Repeat Journals

Creating a Repeat Journals Template

Repeat Journals templates are models of Journal Master transactions used to quickly and easily create journal transactions. You can create these templates from a new or existing Unposted Journal Master or the Repeat Journals list. You cannot select control accounts in your template.

To create a Transaction Template from a Journal Master, do the following:


Menu Path: Accounting > Transactions > General Journal > New

 Menu > Repeat Journal or Ctrl+M.

Rename Template


Menu Path: Accounting > Repeat Journal > Menu > Rename Template 

Retrieving/Viewing Repeat Journal Template

Modifying a Repeat Journals Template

To modify a Repeat Journals template, do the following:

Menu Path: Accounting /Finance > Repeat Journals > Repeat Journal List

Scheduling Repeat Journals


To schedule a Repeat Journals template, do the following:

Menu Path:  Accounting /Finance > Repeat Journals > You will see a list of Repeat Journals templates

Creating a New Schedule Name


The New schedule for the Repeat journal can be created by clicking the New button under the Schedule tab. Enter the Schedule Name and other details like Occurrence and Duration in the Schedule master and save it.


Menu Path: Accounting/Finance> Open Repeat Journal > Schedule tab > New

Scheduled Transaction Reminders

Reminders are sent to assigned users for each occurrence of scheduled transactions to be processed. Accounting Staff can quickly and easily start the automated processing for the scheduled transactions from the reminder notices.

These reminders are scheduled on the Schedule tab of the Repeat Journal Template master

Menu Path: Accounting /Finance> Repeat Journals > Open the Repeat Journals template > Schedule Tab > Check Days to Reming Option and Select  to view the master 

From the reminder notice, you have several options:

Scheduled Transactions List

Menu Path: Accounting/Finance >Transactions > Scheduled Journals