Availability |
Odoo Online
Odoo.sh
On Premise
|
Odoo Apps Dependencies |
•
Discuss (mail)
• Invoicing (account) |
Lines of code | 411 |
Technical Name |
account_internal_transfer |
License | LGPL-3 |
Website | https://kolapro.com |
Availability |
Odoo Online
Odoo.sh
On Premise
|
Odoo Apps Dependencies |
•
Discuss (mail)
• Invoicing (account) |
Lines of code | 411 |
Technical Name |
account_internal_transfer |
License | LGPL-3 |
Website | https://kolapro.com |
Account Internal Transfer
Odoo 18 Module
Account Internal Transfers
Streamline account-to-account transfers with automatic journal entry creation and reconciliation. Perfect for moving funds between bank accounts, cash registers, and other financial accounts.
Module in Action
See how the Account Internal Transfer module works in a real Odoo environment with confirmed transfers and smart buttons for journal entries.

Confirmed Internal Transfer
Shows the transfer form in confirmed state with smart button to view automatically created and reconciled journal entries
Key Features
Streamline your internal financial operations with automated journal transfers and reconciliation.
Automated Journal Entries
Automatically creates two separate journal entries for each transfer - one for the source and one for the destination journal, ensuring proper accounting segregation.
Automatic Reconciliation
Transfer account entries are automatically reconciled, keeping your books balanced and providing a clean audit trail for all internal transfers.
Multi-Company Support
Fully compatible with multi-company setups, with automatic detection of company-specific transfer accounts and proper security rules.
Flexible State Management
Draft, confirm, cancel, or reset transfers with proper workflow controls and automatic journal entry management.
How It Works
Understanding the internal transfer process and automatic reconciliation.
Source Journal Entry
Credits the source journal account and debits the company transfer account with the transfer amount.
Destination Journal Entry
Credits the company transfer account and debits the destination journal account with the same amount.
Automatic Reconciliation
The debit and credit entries in the transfer account are automatically reconciled, balancing the books.
Need Support?
Get help with installation, configuration, or customization of the Account Internal Transfer module.
Email Support
Get direct help from our development team for technical issues and customizations.
Contact SupportGitHub Issues
Report bugs, request features, or contribute to the development on our GitHub repository.
Report IssueCustom Development
Need custom features or integration with your existing systems? We provide tailored solutions.
Get QuoteResponse Times
- Critical Issues: 24 hours
- General Support: 2-3 business days
- Feature Requests: 1 week
What We Provide
- Free installation support
- Configuration assistance
- Bug fixes and updates
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