ERP Pre-Sync
Preview of journal entries before they are synced to your ERP: chart of accounts mapping, debit/credit amounts, and configuration status.
Why use this report?
Your control check before committing journal entries to the ERP. Shows every transaction mapped to its chart of accounts, with debit and credit amounts, classification rule used, and a configuration status flag. Catch errors (missing accounts, missing fiat values, wrong mappings) before they reach your ERP.
Excel Tabs (2)
Tab | Rows | Columns | What It Shows |
|---|---|---|---|
Chart of Accounts Summary | One per account | Chart of Account Type, Chart of Account Name, Sum of Debit, Sum of Credit | Aggregated debits and credits per account. Quick check: do the totals make sense? |
raw_data | One per journal line (2+ lines per transaction) | 58 columns (see Key Columns below) | Every journal entry line with full transaction context and COA mapping. |
Key Columns
TRANSACTION DATA (same as Transaction Ledger)
Column | What It Contains |
|---|---|
| Transaction identification. |
| Wallet and counterparty. |
| Token quantity and ticker. |
| Signed quantity and fiat value. |
| Classification and chain. |
JOURNAL ENTRY (unique to this report)
Column | What It Contains |
|---|---|
| Status flag: "Yes" or "Error: <reason>". Reasons: no_account_matched, missing_fiat, missing_cost_basis. |
| "Cost" or "Fair Value". Each transaction generates at least 2 lines. |
| Debit amount for this journal line. |
| Credit amount for this journal line. |
| The account this line maps to (e.g., Fixed Assets, Finance Charge Income). |
| Account type: asset, expense, income, liability, equity. |
| Account code from your COA. |
| Whether this line affects inventory accounts. |
| Which rule created this mapping (or 'Error' if no rule matched). |
METADATA
Column | What It Contains |
|---|---|
| ERP classification and department mapping. |
| TRES internal transaction ID. |
Use Cases
Use Case | How | Alternative Report |
|---|---|---|
Pre-sync review | Filter Is Well Configured? != "Yes" to find transactions that will fail or produce incorrect journal entries. | |
Missing account mapping | Filter for "Error: no_account_matched" to find transactions without COA rules. Create rules before syncing. | |
Debit/credit verification | Use the Chart of Accounts Summary tab to verify total debits = total credits. | |
Rule testing | After creating new COA rules, regenerate this report to verify they map correctly before syncing. |
Related Reports
Report | Extra Columns vs. This Report | Best For |
|---|---|---|
ERP Pre-Sync | This report: preview before syncing | Control check, error detection, rule testing |
ERP Post-Sync | Record of what was actually synced | Reconciliation, sync status tracking |
Realized Gains & Losses | Transaction data with cost basis (no COA mapping) | Tax and gains analysis |
Note: Transactions with Is Well Configured? = 'Error' will either fail to sync or produce incorrect entries. Always resolve errors before syncing to your ERP.
Tip: Each transaction produces at least 2 journal lines (one 'Cost' and one 'Fair Value'). Some produce more. The Chart of Accounts Summary tab gives you the aggregated view.