Use this procedure to generate a report for the period end date to reconcile the reconciliation account for inventory.
- Select or .
- Complete the required fields.
- In the Report Distribution section, select ReportDocumentIDAssignment in the Inventory Valuation Report or Period End Valuation Report field.
The report is automatically attached to the corresponding reconciliation.
- Click Submit.
The value of the account reconciliation details is automatically updated and subtracted from the Ledger Amount.
- To view the report, select the Reconciliation Details tab on the reconciliation account.