Posting groups in Business Central

By Emil Björk · Microsoft business apps consultant, Gothenburg

How Business Central uses posting groups to translate sub-ledger transactions to GL accounts — general, specific, and inventory posting groups.

Reviewed May 20262 min read · 401 wordsPublished
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Posting groups are how Business Central decides which GL accounts a transaction should hit. Every customer, vendor, item, bank, and resource carries one or more posting groups, and the intersection of those groups defines the GL accounts the system uses at posting. Get them right and the GL builds itself; get them wrong and the trial balance gets uncorrectable noise.

General business posting groups

Tag the type of trading partner — Domestic, EU, Export, Intercompany. Attached to customers and vendors.

General product posting groups

Tag the type of product or service — Goods, Services, Subscription, Reverse-Charge Service. Attached to items, resources, and GL accounts.

VAT posting groups

A parallel pair (VAT business + VAT product) drives VAT calculation and reporting. Often mirrors the general posting groups but separate so VAT can be configured independently for special cases.

General posting setup

The matrix that combines General Business × General Product into accounts: Sales Account, Sales Credit Memo Account, Sales Line Discount Account, Purchase Account, Purchase Credit Memo Account, COGS Account, Direct Cost Applied Account, Inventory Adjustment Account. Every revenue and expense path that touches the GL is mapped here.

Customer / vendor posting groups

A specific posting group tagging the role of the trading partner — Domestic, Foreign, Employee, Intercompany. Maps to balance-sheet control accounts: Receivables Account, Payment Discount Debit Account, Invoice Rounding Account, etc. Attached to each customer / vendor card.

Inventory posting groups

Tag the type of inventory — Raw Material, Finished Goods, WIP, Resale. Combined with the location into an inventory posting setup matrix that maps each item-at-each-location to balance-sheet accounts: Inventory Account, Inventory Account (Interim), WIP Account, etc.

Bank account posting groups

Tag the role of the bank account, mapping to GL bank accounts and currency-specific accounts.

Job / project posting groups

Map job ledger entries to WIP, recognised costs, accrued costs, recognised sales, and invoiced sales GL accounts.

FA posting groups

Map fixed-asset events (acquisition, depreciation, write-down, disposal) to GL accounts per asset class.

The discipline

Define posting groups around real accounting differentiations, not around customer or product hierarchy that already exists elsewhere. Five customer posting groups (Domestic, Foreign, Group, Public, Employee) is healthy; fifty is a sign that someone's reaching for a sub-account taxonomy where they should have used dimensions instead.

Default and override

Items, customers, and vendors default posting groups from templates or item categories. Don't override at the record level unless there's a real, defensible reason — overrides scatter configuration and frustrate audit.

Further reading

Related guides

Browse every guide in Business Central or just Finance & accounting.

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