Creating a reconciliation account
Use this procedure to manually create an individual
account.
- Select Reconciliation Accounts.
- On the Accounts tab, click Create.
- Specify this information:
- Accounting entity
- Select an accounting entity.
- Accounting Unit, Project, Dimension 1-10
- Specify a value. This field is available if a lower level of reconciliation is required for the account.
- Account
- Select the account to reconcile.
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In the Reconciliation Options section, specify this information:
- Description
- Provide a description about the details of the reconciliation.
- Purpose
- Specify a purpose for the reconciliation. You can also specify detailed instructions or checklists of requirements for the reconcilers.
- Reconcile Frequency
- Select whether to reconcile accounts monthly, quarterly, or annually. This determines if a period reconciliation is scheduled when you run the Create Period Reconciliations action.
- Period Within Quarter
- If you select Quarterly in the Reconcile Frequency field, then select which period in the quarter is the schedule of reconciliation.
- Account Type
- Select the account type. For a description of the functionality for each account type, see the Reconciliation Management User Guide.
- Priority
- Select a priority level.
- Risk
- Select a risk level.
- Report Group
- Optionally, select a report group.
- Close Task
- Optionally, select a close task to integrate the account with Close Management solution. When the reconciliation is closed, the status is automatically updated in Close Management.
- Team
- Select a team to assign the reconciliation. If the reconciliation is at a team level, then all reconcilers within the team are notified of the reconciliation. A reconciler can then select the reconciliation from the queue.
- Team Member
- Optionally, select a team member if the reconciliation is assigned to a specific reconciler.
- Requires Supporting Documentation
- Select this check box if supporting documentation is required before completing the reconciliation.
- Requires Approval
- Select this check box if a valid approval code is required to determine how to route the reconciliation through the approval process.
- Approval Code
- If the Requires Approval check box is selected, then select an approval code to define the approval level.
- Auto Reconciliation Policy
- Select the policy that is used to determine whether the period reconciliation is automatically closed.
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Optionally, you can enable Detail Transaction Reconciliation. See Detail reconciliation setup. In the Detail Transaction Reconciliation
Options section, specify this information:
- Detail Reconciliation Method
- Select a detail reconciliation method. If you select Use Detail Reconciliation Match Rules, you must select the Detail Reconciliation Match Rule Group to use for this account.
- Load Interface Transactions
- Select this check box to load interface transactions into the detail reconciliation.
- Load Global Ledger Transactions
- Select this check box to load Global Ledger transactions into the detail reconciliation.
- Transaction Level
- Select a transaction level. This field is only available if the Load Global Ledger Transactions check box is selected.
- Detail Reconciliation Currency
- Select whether the detail reconciliation currency is Entity Functional or Transaction.
- Detail Reconciliation Sign
- Select one of these options:
- Same Sign: Matches Debit to Debit or Credit to Credit
- Opposite Sign: Matches Debit to Credit or Credit to Debit
- Click Save.