Updating Global Ledger transactions
- Select Period End Close.
- On the Journalize Preview tab, click Journalize Distributions.
-
Specify this information:
- Finance Enterprise Group
- Select a finance enterprise group.
- Company
- Select a company.
- Company Group
- Select a company group.
- Post Thru Date
- Select a post thru date. All transactions up to this date will be journalized.
- Click Submit.
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Optionally, you can run Standard Cost
Calculation to create reversing journal entries for the
difference between purchase order cost and standard cost for matched not
received and received not invoiced accounts.
See the Purchasing User Guide.