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Accounting
What is the clearing account?
Why is a clearing account created for currency exchange transactions?
How does Vault manage Vendors in QuickBooks & Xero?
Why does Vault create new vendors in QuickBooks & Xero?
How to connect your Vault Account with QuickBooks or Xero?
How do I link my Vault account to the chart of accounts on QuickBooks or Xero?
How do I manage balances from Vault to QuickBooks & Xero?
What should I do if I have sync errors with QuickBooks or Xero?
What types of transactions sync from Vault to QuickBooks & Xero?
How do I categorize transactions in Vault for QuickBooks & Xero?
Why do I see “Vault Internal” as a contact in Xero?
How do I match Vault balances with my QuickBooks balances?
Where can I find my uploaded receipts in QuickBooks & Xero after syncing?