Accounting & Bookkeeping · How-to guide

Configure expense category account mappings

Map CRM expense categories to expense accounts and control the accounting classification of direct and recurring expenses. The guide then takes you through the correct route, the checks to complete before making changes, the workflow in order, and the evidence to review afterwards.

Audience: Finance administratorsFeature: Expense mappingsModule v1.4.5
Jump to steps
Where to goAccounting → Settings → Mapping Setup → General → Expense Category Mapping
Before you startThis guide follows Accounting and Bookkeeping module version 1.4.5. The required access is Accounting Settings: Create, Edit or Delete. A related screen can remain hidden when an optional module is inactive, a source record is in an ineligible status, the selected account is inactive or the user is not an assigned approver.

What you’ll accomplish

Map CRM expense categories to expense accounts and control the accounting classification of direct and recurring expenses. It forms part of Britixo Enterprise CRM's Accounting & Bookkeeping module and uses the module's permission-aware controller, status and mapping flow rather than a generic spreadsheet process.

How the module flow works

The module exposes expense-category mapping table, save, delete and active-status actions and listens to expense add, import, recurring, update and delete hooks.

A category mapping controls classification, while the selected payment mode controls the other side. An expense linked to a customer or project can still require the same accounting mapping.

If imported expenses remain unconverted, verify category values and active mappings.

Follow these steps

  1. Check the active CRM expense categories.
  2. Go to Expense Category Mapping.
  3. Select an appropriate expense account for each category.
  4. Check the payment-mode mappings used with expenses.
  5. Configure tax treatment.
  6. Save and activate the mapping.
  7. Convert a controlled expense and compare the source total with ledger lines.

Fields and decisions to review

Expense categoryThe source classification selected on the CRM expense.
Expense accountThe debit account for the cost.
Payment account or modeThe credit side for cash, bank, card or payable treatment.
Tax mappingHandles recoverable or non-recoverable tax according to configuration.
Active statusControls use by automatic conversion.

How to confirm it worked

After the action is saved, Britixo keeps the Accounting record connected to its source and updates the visible status or ledger data supported by this workflow. Review the saved result rather than relying only on a success message. Where the action posts accounting data, total debits and credits must balance and the accounts must match the approved mapping or manual selection.

  • Open the saved record and confirm its final status.
  • Review the source reference and every debit and credit line where ledger data was created.
  • Use the relevant register, ageing, reconciliation or report to verify the wider effect.

Controls, checks and common mistakes

  • Keep categories and ledger accounts at a useful reporting level.
  • Do not map capital purchases to ordinary expenses.
  • Test recurring and imported expenses.
  • Review reimbursable and billable expenses separately.
  • Use the least destructive correction available and record the reason for material changes.
  • Do not bypass a permission, approval or closed-period control by changing unrelated data.
Accounting and data safetyDeletion, reset, void, refund, mapping, journal and reconciliation actions can change financial history. Use approved access, retain supporting evidence and validate the result in the General Ledger or relevant control report.