Summary
The accounts payable ("AP") detail report is a core component of an entity's AP management and financial reporting processes.
When you import an AP detail into MindBridge, it analyzes 100% of the financial data to detect risk and anomalies.
Learn how to import an AP detail file into MindBridge for analysis.
Go to the Data page
- Select the logo in the MindBridge sidebar.
You will go to the Organizations page. - Select View in line with the desired organization, or click anywhere in the organization row.
You will go to the Engagements page. - Select View in line with the desired engagement, or click anywhere in the engagement row.
You will go to the Data page for that particular engagement.
Tip: If you are already in an analysis, open the sidebar ( ) and go to the Data ( ) page.
Select files to import
MindBridge supports several ways to select and import files.
Drag and drop
- On the Data page, drag and drop the file from your computer into the appropriate period of the AP detail row.
- Once the file has loaded, select Continue import.
You will go to the first step in the import process.
Browse your computer
- On the Data page, select Browse... in the appropriate period of the AP detail row.
- Select Browse your computer from the menu.
- Select the file you wish to use and Open it.
The file imports into your analysis. - Once the file has loaded, select Continue import.
You will go to the first step in the import process.
Browse file manager
- On the Data page, select Browse... in the appropriate period of the AP detail row.
- Select Browse file manager from the menu.
A pop-up window appears. - Select the file you wish to use.
- When you are satisfied, Import the file.
The file imports into your analysis. - Once the file has loaded, select Continue import.
You will go to the first step in the import process.
Import using a data connector
Data connectors allow you to import all available data needed for an analysis at once. On the Data page, you can invite a client to connect or connect yourself to a data connector.
Once the file has loaded, select Continue import. You will go to the first step in the import process.
Learn about bulk importing using a connector.
Validate the data
Once the file has imported, validate the data by reviewing the file details, the integrity checks, and the column preview. This information will help you determine whether the data has issues or if you can proceed with it as it is.
If the data appears in a grouped format, MindBridge will not be able to analyze it. Select Format data to automatically format the data into an ungrouped format, then proceed with the import process.
File details
These high-level file details can help you be sure that the imported data meets your expectations at a glance.
Integrity checks
These checks include detailed information on every column within the data. They may indicate issues with the file, but will not prevent you from continuing the import process.
Column preview
These statistics can help verify your expectations, and may assist you in finding anomalous data right away.
When you are satisfied that the data is correct, select Next to continue the import process.
To exit the import process, Close the page. MindBridge will save your progress.
Map columns
Once you are satisfied with the data's integrity, map its columns. Your existing column headers appear as draggable fields beneath Your Data Column Headers.
- Drag and drop a field from Your Data Column Headers to the appropriate field beneath Mapped Columns.
- If your data columns do not line up one-to-one with the MindBridge columns, use the more actions icons to split, join, or duplicate columns to make the needed adjustments, or add a column for filtering.
- When you are satisfied, select Next to proceed.
You will go to the Analysis Period step.
To return to the previous page, select Back.
To exit the import process, select Close. You will go back to the Data page and MindBridge will save your progress.
Verify the analysis period
The Analysis Period step allows you to verify the accuracy of your data by providing a snapshot of how it falls into the defined analysis period.
Review analysis period settings
Review the following items for accuracy. When you are satisfied, select Next to finish importing the AP detail and go back to the Data page.
The left-side section provides:
- The defined analysis period date range with the option to adjust it
- The entries that fall within the period
- The entries that fall outside of the period
- The total debit value of entries within the period
- The total credit value of entries within the period
The central graph displays the number of entries within and outside of the analysis period, with the option to view by day, week, or month.
The right-side section provides integrity checks related to the analysis period, including:
- If the ledger contains any out-of-period entries
- If there is a difference between any periods
- If any periods overlap
To return to the previous page, select Back.
To exit the import process, select Close. You will go back to the Data page and MindBridge will save your progress.
Anything else on your mind? Chat with us or submit a request for further assistance.