Reconciliation

Before you perform consolidation of expenditures and revenue and post journal entries to the system, you should do an intercompany reconciliation.

Select Rates and Reconciliation > Intercompany Matching and then select one of these reports for the reconciliation purposes:

  • IC Reconciliation Status
  • Intercompany Matching Detail Cons. Expenditure/Revenue
  • Account Reconciliation (Intercompany)
  • Intercompany Matching Detail - Overview