Zoho Expense simplifies the task of recording and reporting expenses. If you’re wondering whether you can import/export expenses into your books, you don’t have to! With the Zoho Expense/Books integration you can sync and view your expense data from within your Zoho Books account automatically. You can view your list of approved expenses, automatically updated and matched under the existing Chart of Accounts (CoA).
Click the links below to easily navigate through the page.
- Configuring Zoho Expense/Books integration
- Viewing approved expenses in Zoho Books
- Recording reimbursement from Zoho Books
- Matching and categorizing transactions
- Matching expense categories under Chart of Accounts (CoA)
- Syncing merchants and vendors
- Recording advance payments
Zoho Expense does not require any steps for it to be integrated with Zoho Books. Our system automatically links both the accounts, provided they both have the same organisation profile.
To view approved expenses from Zoho Expense in Zoho Books:
- Click the Purchases tab in the left sidebar of Zoho Books.
- Click the Expenses tab to see the list of expenses associated with your account.
- Click the filter drop-down present in the top left corner of the page.
- Select ‘From Zoho Expense’ filter to see the list of approved expenses from Zoho Expense.
You can also record reimbursements from Zoho Books.
To do so, perform the following steps.
- Click the Banking tab in the left sidebar of Zoho Books.
- Select the Account through which reimbursement transactions are done.
- Go to the Add transaction drop-down and select Employee Reimbursement.
- You will see an Employee Reimbursement form in the right side of the screen.
- On selecting an Employee’s name from the drop down, you will see a list of approved expense reports belonging to the employee, awaiting reimbursement.
- Select the report you want to reimburse and click Save.
Expense reports that are reimbursed manually will be tagged as Manually added transactions. However, on importing bank statements into Zoho Books, there arises a need to categorise the statement lines or match it with an existing transaction (reimbursed manually).
This is done by following the steps given below.
- Click the Banking tab in the left sidebar.
- Select the Bank account containing uncategorised transactions.
- Click on an uncategorised transaction, and you will see a list of transactions that can be matched with your uncategorised transaction.
- On finding a transaction that can be matched, click Select.
- Click Match to match the transaction.
If the statement line does not have a matching transaction, or you do not want to associate it with an existing transaction, then you can categorise it manually using Categorise manually option located below the list of transactions.
- Select Employee Reimbursement from Category drop-down.
- Choose the name of the Employee and the report with which you want to associate your uncategorised transaction.
- Click Save. Your transaction has been categorised.
The expense categories created under the Categories section of Zoho Expense (Settings > Categories > + New Category) is automatically added under the Chart of Accounts section of Zoho Books. This saves you from re-creating the same category under Zoho Books.
Note: Newly created Chart of accounts will be an active category in Zoho Expense on checking the Show in Zoho Expense as an active account option in Zoho Books. Otherwise it will be visible as an inactive category in Zoho Expense. However, you can enable the inactive category. (To enable: Navigate to Admin > Settings > Categories > Click the filter drop-down in the top left corner of the page and select Inactive Categories > Select the category > Enable).
If you want to use the vendors in Zoho Books to create expenses in Zoho Expense, you can contact firstname.lastname@example.org and we will enable the sync. Once the sync is enabled, all the vendors in Zoho Books will be available as merchants in Zoho Expense, while the existing merchants in Zoho Expense will be deleted.
After the sync, if you create a merchant in Zoho Expense, it will be pushed as a vendor to Zoho Books automatically. Similarly, when you create a vendor in Zoho Books, it will be pushed as a merchant to Zoho Expense automatically.
Zoho Expense provides the option to record an advance payment while creating an expense report. Zoho Expense/Books integration allows you to view your employee advance payments along with the list of approved expenses.
You can view your employee advances under your Zoho Books account by performing the following steps:
- Go to the Reports section, and click the Accountant tab.
- Click Account Transactions, and you will see a page where you could generate reports based on an account name and a specified date range.
- Click the Account Name drop-down and select Employee Advance from the Asset section.
- Specify a date range and click Run Report.
This will show you a list of advance payments made while creating an expense report under Zoho Expense.