Activating Smart Reconciliation
Use this procedure to assign Smart
Reconciliation functions to a finance resource.
- Select Application Administrator > Financials > Payables > Payables Setup > Finance Resources.
- Open a finance resource record.
-
On the Smart
Reconciliation tab, specify this information:
- Match Preference
- Select the match preference for the
user.
- Select Detail Match, so that the user has access to the Detail Match page and can match invoices at the detail or line level.
- Select Invoice Match, so that
the user has access to the Invoice
Match page and can match invoices at the
header level.Note: Invoice match will close any available receipt quantities.
- Select Both, so that the user has access to both the Detail Match and the Invoice Match page.
- Invoice Preference
- Select the type of invoices for the
user.
- All Invoices: All invoices that are available for match for the company and configuration are displayed.
- Invoices with Receipt Lines: Invoices that are available to match are displayed. There are no PO cost messages open for the invoices and there is a receipt available to match.
- Display Only
- Select this check box to grant the user display-only access.
- Restrict Chargebacks
- If you select this check box, then all chargeback activity on the detail and invoice match pages are disabled.
- Default Invoice Template
- When creating an invoice in Manage Invoices, the invoice template default is the value that is specified on the Finance Resource.
- In the Assignments section, select Companies and one other option.
- Click Save.