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Choose cash or accrual for Xero

Set the accounting method that a Xero statement source uses for the profit and loss.

A Xero source reads your profit and loss (P&L) and your balance sheet. You choose the accounting method for the P&L when you create the source. The method changes which P&L amounts land in each month.

Use Accrual to plan from the standard Xero P&L. Use Cash to plan from the money that came in and went out.

What each method reads

MethodProfit and lossBalance sheet
Accrual (default)The standard Xero P&L reportAccrual basis
CashThe Xero P&L report with the payments-only optionAccrual basis

The cash basis applies to the P&L only. Eigenn reads the balance sheet on an accrual basis for both methods.

Choose the method

  1. Go to Scenario planning → Data.
  2. Select New, then select Xero.
  3. Complete Choose a connection and check Select a dataset.
  4. Under Select an accounting method, select Accrual or Cash.
  5. Set the Advanced configuration fields.
  6. Select Create data source.

Put the method in the Source label, for example "Xero P&L (cash)". The Data page and the model panels show the label, not the method.

The method stays with the source

You cannot change the method of a source after you create it. To use the other method, create a second Xero source. Then link each variable to the source that you want. To compare the two methods, link one variable to each source.

The Add Xero source button in a model's Statement actuals section always creates an Accrual source.

Other sources

Only Xero statement sources have an accounting method. The other sources follow fixed rules:

SourceWhich date sets the month
Bank transactions and CSV importThe transaction date
Stripe, QuickBooks, and Eigenn invoicesThe invoice issue date

Related

  • Connect a data source
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  • Refresh and check actuals
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  • Data concept

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What each method readsChoose the methodThe method stays with the sourceOther sourcesRelated

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