Visma DI Systems

Export configuration

Configuration of export is to be done following the standard configuration.

Visma DI requires two fields additional settings to be defined/set.

  • Export projects to accounting If the export should also contain projects, select this checkbox

  • Client ID for export to accounting system Register the ID in the external system to be included in the file.

Upon setting these fields, click "Save changes" and the export is now ready to be used.

File

The file produced for Visma DI is an XML file that contains both customers and vouchers.

Section

Field

Description

Header

ClientEntity/ClientID

Client ID defined in configuration

Header

OriginSystemCode

Hardcoded = Other

Header

OriginSoftware

Hardcoded = Moment

Customer

CustomerAccountID

Customer number

Customer/Party

Name/Name

Customer name

Customer/Party

PartyLegalEntity/OrganizationNumber

Organization number

Customer/Party

PostalAddress/AddressLine1

Customer address 1

Customer/Party

PostalAddress/CityName

Customer city

Customer/Party

PostalAddress/PostalZone

Customer zip code

Customer/Party

PostalAddress/CountryID

Customer country ID, ISO-2

Transaction

AccountingPeriod

Transaction

BundleCategoryCode

Transaction

BundleDescription

Transaction/Voucher

InvoiceID

Transaction/Voucher

VoucherCategoryCode

Transaction/Voucher

VoucherDate

Invoice date

Transaction/Voucher

DueDate

Due date

Transaction/Voucher

Account/AccountID

Account

Transaction/Voucher

Tax/TaxCode

Tax code

Transaction/Voucher

GrossAmount {currencyCode}

Amount

{currencyCode} ISO-3 code

Format

  • Date format: YYYY-MM-DD

  • Decimal separator: . (period)

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