Bank Account Fields
Here is a description of the fields that make up a company A self-balancing accounting unit within your organization. bank account. Some of these fields may not be visible or editable at all times, or in all package combinations.
Key: R – Read-only in all contexts; * – Mandatory field
The number indicates the number of characters that are allowed in this text field, where appropriate.
Field | Description | ||
---|---|---|---|
Account Name | * | 80 | Name by which the account is known at the bank. |
Account Number | * | 36 | Bank account number. |
Bank Account Currency | * | 80 | The ISO code of the accounting currency![]() |
Bank Account Name | * | 80 | Short name for the bank account, often with some indication of its purpose. such as Citibank Checking Account. |
Bank Name | * | 80 | Full name of the bank. |
City | 40 | City portion of bank address. | |
Company | R | Company that owns this record. | |
Country | 40 | Country portion of bank address. | |
Direct Debit Originator Reference | 18 | Unique direct debit originator reference for this company bank account. This is the same reference that is printed on all direct debit mandates that you distribute to your customers. This field must be completed if you want to collect direct debits using this bank account. | |
255 | Email address. Must be a valid email address in the form: jsmith@acme.com. | ||
Fax | 20 | Fax number. | |
General Ledger Account | * | 80 | The general ledger account![]() |
IBAN | 36 | International Bank Account Number of the bank. | |
Phone | 20 | Primary phone number for the bank. See "Entering Phone Numbers" in the Salesforce Help for more information. | |
Reporting Code | * | 24 | An alternative name or code used for reporting. |
Sort Code | 20 | Bank identifier. | |
State/Province | 20 | State or province portion of bank address. | |
Street | 255 | Street address of the bank. | |
SWIFT Number | 36 | Society for World-wide Inter-bank Funds Transfer number. | |
Zip/Postal Code | 20 | Zip or postal code portion of bank address. |
Bank Charges Analysis
The following analysis defaults can be set for this bank account. These defaults are used in bank reconciliation The process of comparing and matching transaction values against those shown on a bank statement in order to uncover any possible discrepancies. and when creating a cash entry
A record of money received from, or refunded to, your customers, often in the form of cash or a check. Also used to record payments to and refunds from vendors..
None of the specified general ledger accounts can be of type "Retained Earnings", but the same general ledger account can be specified more than once.
Field | Description | |
---|---|---|
Bank Charges GLA | Default general ledger account![]() |
|
Dimension 1 to 4 | Up to four default analysis dimensions![]() |
Bank Interest Paid Analysis
Field | Description | |
---|---|---|
Interest Paid GLA | Default general ledger account for recording bank interest paid. |
|
Dimension 1 to 4 | Up to four default analysis dimensions related to this default general ledger account. |
Bank Interest Received Analysis
Field | Description | |
---|---|---|
Interest Received GLA | Default general ledger account for recording bank interest received. |
|
Dimension 1 to 4 | Up to four default analysis dimensions related to this default general ledger account. |
Lightning Actions
You can add the following Lightning actions to the standard Bank Account object page layouts.
Button | Description |
---|---|
Import Statements | Import bank statement details through the Plaid Bank Integration process. |