---
title: "Import bank transactions"
description: "If your bank sends you electronic versions of your bank statements, you can import these statements to Visma Net to make it easier to reconcile the statements."
lang: en
languages:
  en: https://docs.vismasoftware.no/visma-net-erp/help/cash-management/manage-bank-statements/import-bank-transactions/index.md
lastmod: 2026-02-23
---

> Documentation index: https://docs.vismasoftware.no/visma-net-erp/help/cash-management/manage-bank-statements/llms.txt


# Import bank transactions

Last modified February 23, 2026

> If your bank sends you electronic versions of your bank statements, you can import these statements to Visma Net to make it easier to reconcile the statements.


## Before you start

[Manually import bank transactions](https://docs.vismasoftware.no/visma-net-erp/help/cash-management/configure-cash-accounts/manually-import-bank-transactions/index.md)

1. Go to the [Import bank transactions (CA306500)](https://docs.vismasoftware.no/visma-net-erp/help/cash-management/cash-management-windows/import-bank-transactions-ca306500/index.md) window.
1. In the **Cash account** field, select the bank account for which you want to import the statement. If the statement create method of the cash account is other than **Enter manually**, go to step 9.

    > [!NOTE]
    > You can use the manual import, when the **Upload files manually** check box is activated for the account in the [Cash accounts (CA202000)](https://docs.vismasoftware.no/visma-net-erp/help/cash-management/cash-management-windows/cash-accounts-ca202000/index.md) window.
1. In the **Reference no.** field, enter the reference number of the bank statement, as specified by the bank.
1. In the **Statement date** field, either leave the current business date or select another date.
1. In the **Start balance date** field, select the earliest date among the unreconciled document dates.
1. In the **End balance date** field, select the latest date among the dates of the documents listed on the bank statement.
1. In the **Beginning balance** field, specify the balance of the account on the start date.
1. In the **Ending balance** field, specify the balance of the account on the end date. You are not required to fill in the fields in points 2-7.
1. Click ![icon-save](https://docs.vismasoftware.no/media/visma-net-erp/icon-save.png).
1. Click ![icon-load-from-file](https://docs.vismasoftware.no/media/visma-net-erp/icon-load-from-file.png) in the toolbar. It opens the **File upload** dialog box. If the statement create method of the cash account is **Import from AutoPay**, click the **Get statements** button that is displayed.
1. In the dialog box, select the file with the statement in the **File path** field.
1. Click **Upload** to upload the file and close the dialog box. The transactions of the selected bank statement are updated to the table in the lower part of the window.

<h2>Related pages</h2><h3>Concepts</h3>
<ul><li><a href="/visma-net-erp/help/cash-management/manage-bank-statements/about-importing-transactions/index.md">About importing transactions</a></li><li><a href="/visma-net-erp/help/cash-management/manage-bank-statements/about-processing-imported-transactions/index.md">About processing imported transactions</a></li>
</ul><h3>Tasks</h3>
<ul><li><a href="/visma-net-erp/help/cash-management/manage-bank-statements/import-a-bank-statement-in-excel/index.md">Import a bank statement in Excel</a></li><li><a href="/visma-net-erp/help/cash-management/manage-bank-statements/import-a-bank-statement-in-ofx-qbo-and-qfx-formats/index.md">Import a bank statement in OFX, QBO, and QFX formats</a></li>
</ul><h3>Windows</h3>
<ul><li><a href="/visma-net-erp/help/cash-management/cash-management-windows/import-bank-transactions-ca306500/index.md">Import bank transactions (CA306500)</a></li><li><a href="/visma-net-erp/help/cash-management/cash-management-windows/process-bank-transactions-ca306000/index.md">Process bank transactions (CA306000)</a></li>
</ul>


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[View this page](https://docs.vismasoftware.no/visma-net-erp/help/cash-management/manage-bank-statements/import-bank-transactions/)
