Intercompany Matching Detail Cons. Debts
This page show details of the intercompany reconciliation in the category of consolidation debts.
You can access this page by clicking a balance amount on the Transactions Intercompany Data Entry Status page, by selecting in the navigation panel, or through the Landing Page.
You can verify account balances for the selected entity and intercompany for these processes for consolidation debts:
- D1: Elimination of Long Term Intragroup Loans Receivables/Payables
- D2: Elimination of Short Term Intragroup Loans Receivables/Payables
The balances are presented for an entity accounts and their contra, intercompany accounts for each consolidation process in these currency types:
- Group currency: Converted from local currencies of the selected entity and intercompany
- Local currencies: Currencies of the selected entity and intercompany
- Group currency based on transactions: Converted from transaction currencies
The above-the-threshold differences in the balance of the entity and intercompany accounts are highlighted in red on the contra accounts' side for each consolidation process and each currency type.
To verify the details of the difference, click the difference amount in the Values in Group Currency column. The Transactions Data Entry Detail – Cons. Debts page is displayed.