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How to Import Bank Statements into QuickBooks Desktop?

Import Bank Statements from Supported File Formats directly into QuickBooks Desktop using SaasAnt Transactions - #1 user rated and Intuit trusted bulk data automation tool built exclusively for QuickBooks.

SaasAnt Transactions supports QuickBooks Pro, Premier, Enterprise and Accountant Editions.

You can download the free trial of the software directly from the SaasAnt Website. Follow this article for a detailed installation instruction.

Basic Import Steps

Importing with SaasAnt Transaction is a breeze with our simplified and powerful Import wizard. Just follow a simple 3 step process to bulk import your file data to QuickBooks.

Click Import button in the Dashboard screen or Import option from the File menu in the menubar to navigate to  File Selection screen of the Import wizard(Step 1).

  • Step 1 - File Selection: Select "QuickBooks Transaction Type" as "Bank Statement". "Select Your File" - You can either click "Browse File" to browse and select the file from local computer folder or click "Sample Templates" to navigate to SaasAnt sample file in local.
  • Step 2 - Mapping: Set up the mapping of the file columns corresponding to QuickBooks fields. This step will be automated for you if you use the SaasAnt template file. Download Sample Template file.
  • Step 3 - Review & Import: Review your file data in the Review Grid screen and click "Send to QuickBooks" to upload your file data to QuickBooks.

More detailed instruction of the steps are available in this article.







How does it work?

Let's assume that we have a file which contains following bank statement.

DateDescriptionCheck NoAmount
23/12/18Subscription payment12123733100
23/12/18Telephone Bill Payment2121221 1-900


Bank statement has deposits and Expenses.To import Deposits and Expenses (Checks),we need to mention 

1. Bank Account

2. Income Accounts 

3.Expense Accounts

4.Customer or Vendor Names

Let's modify the file to add above details.

DateDescriptionCheck NoAmountBank AccountAccountPayee
23/12/18Subscription payment12123733100HDFCUncatergorized Income AccountJohn
23/12/18Telephone Bill Payment2121221 1-900HDFC
Telephone Expense AccountTelephone Company 1

Now we can import this file using SaasAnt Transactions.

  • If the transaction has POSITIVE Amount, it will be considered as Deposit.
  • If the transaction has NEGATIVE Amount, it will be considered as Expense/ Check.

If the file has separate columns for Credit and Debit, It can be be directly mapped too.

Bank Statement Line as Deposit


Bank Statement Line as Check

Mapping QuickBooks Fields

Field NameFormatDescription
Date *
DateThe date when this transaction occurred. 
Bank Account *
Reference TextName of the Bank /  Cash Account for this transaction.
Name or Account Number can be given.
Check Number
Text (Max Length: 11 Characters)
Check Number or Reference number for the transaction.
Description
Text (Max Length: 4095 Characters)
The Description about the Expense or Deposit Transaction.
Payee *
Reference Text
Reference to Vendor,Employee or Customer.
Name , Account Number or Custom Field Value can be given.
Account *
Reference Text
Reference to the Expense Account Name or Income Account Name associated with the transaction.
Name or Account Number can be given.
Amount *
DecimalThe amount of the transaction.
POSITIVE Amount will be considered as Deposit Amount
NEGATIVE Amount will be considered as Expense/ Check
Withdrawal **
Decimal
Expense Amount
Deposit **
Decimal
Sale Income Amount
Class
Reference Text

Customer
Reference Text
Customer name associated with this deposit.
Memo
Text (Max Length: 4095 Characters)
Billable Status
Boolean ( TRUE/FALSE)
Currency
Currency Code3 Letter Currency Code Ex: USD,EUR
Exchange Rate
Decimal

 All (*) marked fields are mandatory. 

Import Settings

A host of powerful customisations for your file data is available with Import Settings. This is available in the  Step 3: Review & Import screen or directly under "Edit" Menu in the menubar. Some of the very useful settings for transaction includes:

  • Pre-Import Validation: Validate the complete file before importing to QuickBooks. By turning this setting ON, file rows will be imported only after cleaning up all the issues in file. This option however will delay the import.

More details about the settings related to Automatic creation of Items, Assigning reference number from the file, etc are available in this article.

FAQ's

Most of us would have some questions while moving data to your QuickBooks Online. Some of them for your reference below:

  • I want to import Bank Statement with Check Numbers from File. Is it supported?

            Yes. It is supported.

  • Will your application support Multi Line Transactions?

            Yes. It will.

  • I made some mistakes in the Import and my QuickBooks reports got corrupted. Is there any way to undo or revert my Import?

            It is possible to undo the import completely/ partially with the Delete feature.

  • Does your app support taxes?

            Yes. It does.

  • My file has some specific date format. I don't want to change the file. Will your product support all date formats?

            Yes. You can select the specific date format as per your requirement in the import settings.

  • Do you have any sample templates?

            Yes. We do have. Sample Template

  • What are the file types supported by your application?

            TXT, CSV, XLS, XLSX etc. Supported File Formats 


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