TenantShell

Import/Export Hub

Migrate data from other systems or export to various formats

Import Data From

Coming Soon

Xero

Import Chart of Accounts, Contacts, Invoices, Bills from Xero CSV exports

COA
Customers
Suppliers
Invoices
Bills
Payments
Coming Soon

QuickBooks

Import from QuickBooks Online or Desktop CSV/Excel exports

COA
Customers
Vendors
Invoices
Bills
Journals
Coming Soon

Sage 50

Import from Sage 50 CSV exports and data files

COA
Customers
Suppliers
Transactions
Coming Soon

Wave Accounting

Import from Wave CSV exports

COA
Customers
Invoices
Receipts
Active

Bank Statements

Import bank statements from CSV, OFX, MT940, camt.053 formats

Bank Transactions
Coming Soon

Generic CSV/Excel

Import any data type from custom CSV or Excel files with field mapping

Any Entity

Export Data To

Active

Full Vault (ZIP)

Complete tenant export with JSONL, SQL, and checksums

Coming Soon

Excel Workbook

Multi-sheet Excel export with all entities and data dictionary

Coming Soon

CSV Archive

ZIP file with separate CSV files for each entity

Active

PostgreSQL Dump

Complete SQL dump with DDL and data (included in Vault)

Import Process

  1. Select source system and upload file
  2. Map columns to PluralBooks fields
  3. Review pre-flight validation (TB/P&L/BS deltas)
  4. Fix any validation errors
  5. Commit import to create records
  6. Review import summary and error report (if any)

Export Formats

  • Full Vault: Complete backup with checksums
  • Excel: Multi-sheet with data dictionary
  • CSV: Separate files per entity
  • SQL: PostgreSQL-compatible dump