Mapping General Ledger Accounts
When you import an audit file for the first time or connect an accounting system, the general ledger accounts must be linked to Factview's standard report structure.
This process is called mapping.
The general ledger accounts from the accounting system are assigned to the standard report structure used by Factview. This is typically a one-time task, although the mapping can be modified at any time.
Mapping is performed by dragging one or more general ledger accounts to the appropriate reporting categories within the report structure.
Open the Mapping Screen
To open the mapping screen, navigate to:
Data → Manage and Organize → Structure Mapping
Here you can link your general ledger accounts to the report structure.
There is a good chance that some general ledger accounts have not yet been mapped to the Standard Structure.
Click Place Accounts Automatically in the Structure in the red notification on the right side of the screen.
Then return to Structure Mapping.
If accounts do not yet contain any transactions, you can automatically place them in the **!NM (Do Not Map)** category first. This helps keep the report structure organized. To do this, click **Move Accounts Without Transactions to !NM (Do Not Map)** in the lower-left corner of the **Structure** panel.
Overview of the Mapping Screen
The Mapping screen consists of several sections.
When dragging an account to the report structure, you must drop one or more selected accounts **directly onto the name of the target group**. When an account is placed correctly, a **green check mark** is displayed. If you release the account outside the correct group, it is automatically placed in the parent **F Group**. It is important to expand the entire report structure and check whether any accounts have been placed in an **F Group**. These accounts should then be dragged again into the correct group. If you want to move an account back to the account list (the middle panel), you must drop it directly onto the **Accounts to Be Mapped** folder.
1. Report Structures
This panel displays all available Report Structures.
A Report Structure determines how general ledger accounts are grouped in reports, for example:
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Profit and Loss Structure
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Balance Sheet Structure
Selecting a Report Structure loads it into the Structure panel on the right side of the screen.
2. Structure Panel (Navigation)
The Structure panel provides tools for navigating through the report structure.
Available options:
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Expand All Groups – Expands every section of the structure.
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Expand Main Groups – Displays only the main categories.
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Expand More Detail – Shows additional levels within the structure.
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Collapse All Groups – Collapses the entire structure.
These options make it easier to work with large report structures.
3. Account Panel
This panel allows you to filter general ledger accounts.
Available filters:
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Profit & Loss – Displays only profit and loss accounts.
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Balance Sheet – Displays only balance sheet accounts.
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Accounts to Be Mapped – Displays accounts that have not yet been mapped.
Use the Filter Accounts search box to find a specific account.
Additional filters:
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With Transactions – Displays only accounts that contain transactions.
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Without Transactions – Displays only accounts without transactions.
You can also filter by balance:
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> 0 – Accounts with a balance greater than zero.
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< 0 – Accounts with a balance less than zero.
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= 0 – Accounts with a zero balance.
4. Mapping Status
This section indicates whether all accounts have been mapped to the selected Report Structure.
When the message "All accounts are mapped" is displayed, all accounts have been linked successfully.
5. Actual Balance
This section displays the balance of the selected structure or account for the chosen period.
It provides a quick way to verify that amounts are correctly included in the Report Structure.
6. Transactions for the Selected Account
When you select an account, this panel displays its transactions.
If no transactions are available, the following message is shown:
"No figures found for this account."
7. Structure Panel (Report Structure)
The right side of the screen displays the complete Report Structure as a tree view.
Here you can see:
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The hierarchy of the Report Structure.
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The categories within the structure.
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The linked general ledger accounts.
Accounts are mapped to the appropriate categories so they are displayed correctly in reports.
When an account is shown in green, it indicates that financial data has been found for that account.
To map an account, drag it to the appropriate category in the Structure panel.
Additional Functions
The Structure section includes several additional functions for managing the report structure.
Resize Panels
Drag the divider between the panels to adjust their size.
Export Mapping
Exports an overview of all account mappings to an Excel file.
Mapping Table
Displays an overview of all general ledger accounts and the categories to which they are mapped.
Show Balance For
Select the period for which the balance should be displayed.
Move Accounts Without Transactions to !NM
Automatically moves all accounts without transactions to the !NM (Do Not Map) category.
After Mapping
Once all accounts have been mapped, the Dossier is ready for further analysis.
The financial data can now be viewed in Factview's standard reports. The Reporting in Factview chapter explains how to analyze and customize reports.
Advanced Topics
Want to continue with more advanced features? See:
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Creating a Budget
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Creating a Forecast
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Creating a Consolidation