How to use the Carbon Ledger

This article covers the key features of the Carbon Ledger to assist in reconciliation.

Overview of the Carbon Ledger

The Carbon Ledger has two screens:

  • To Reconcile - This table shows all imported financial transactions that need to be reconciled to emission sources
  • Reconciled - This table shows all reconciled transactions in the assessment 

Features in the Carbon Ledger screen:

  • Search - This allows you to search through the transactions
  • Filters - This allows you to filter and group transactions by Date, Supplier, GL Account, Description, Emission Source, GHG Category, Amount, Has note.
  • Categories - Create tracking categories to tag transactions as you reconcile. More here.
  • Rules - Create Rules to speed up reconciling regular transactions. More here.
  • The Carbon Ledger table - The sortable, customisable table where you reconcile emission sources to financial transactions.
  • Export transactions - Click the three dots at the far right of the header row of the Carbon Ledger table and click Export > Excel to export a list of all reconciled or un-reconciled transactions.
  • Add notes & attach files - Add notes to transactions by right clicking on a transaction in the carbon ledger table, type your note and select the tag icon to add custom tags or search pre loaded tags. Select the plus icon to attach a file or add a link. To create notes anywhere in Sumday and search all notes, select the Note icon on the top right menu bar in Sumday. 

Columns in the Carbon Ledger Table 

  • Date - the date of the transaction determined by the import source (file import or Xero) - this cannot be edited
  • Supplier - the date of the transaction determined by the import source  - this cannot be edited
  • GL Account - the general ledger account the transaction is coded to, determined by the import source (file import or Xero)  - this cannot be edited
  • Description  - the date of the transaction determined by the import source (file import or Xero)  - this cannot be edited
  • Amount - the date of the transaction determined by the import source (file import or Xero)  - this cannot be edited
  • Rule - if a Rule applies to the transaction, the rule name will show here
  • Emission Source - a smart suggestion or memorisation will show here in the To Reconcile tab - this is where you select which emission source to code the transaction to. In the Reconciled tab, the selected emission source shows here. See a guide to reconciling in the carbon ledger.
  • GHG Category -  The relevant GHG sub-category selected here tells Sumday which GHG category the transaction/emissions will be coded to.
  • Category - these columns will be named to match any Categories set up in the Sumday organisation.
  • Show/Hide - you can show/hide each column to create a custom view by clicking 3 dots at the end of the header row on the table.

Useful features of the Carbon Ledger

  • Smart suggestions - Smart Suggestions (✨) use the information in the Supplier, GL Account and Description columns to provide you with a recommendation on which Emission Source may be most relevant, and a confidence score of it's recommendation.
  • Memorisation - When you assign an emission source to a transaction, Sumday remembers the details and will suggest the same source for similar transactions in the future.
  • Customise the table columns - In the Carbon Ledger table, simply click the 3 dots in the top right to Show/Hide columns in the Carbon ledger to tailor the data view to your needs. Adjust column order, size, and visibility for a workspace that makes sense to you.
  • Sort transactions by clicking the column headers - you can sort by any column header to bring similar items together. For added efficiency, use CTRL + click to sort by multiple columns, such as GL Account > Supplier > Amount, to group transactions by account, then by supplier, and highlight high-spend items first. This approach helps you focus on major carbon impact areas quickly and accurately.
  • Bulk selection - often, similar transactions share the same emission source. After selecting one transaction, you can hold SHIFT to select a range or click individually to choose specific transactions. This allows you to apply an emissions source to multiple transactions at once, significantly reducing the time spent on repetitive coding.
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