Function: Reconciliation
In this function, you can validate the reliability of the
integration transactions. Through an audit, you can account for the balances on
interim accounts used for financial integration transactions.
Process: Reconciliation of Integration Transactions (code:
MPO04a)
In this process, you check if the financial data from logistical
modules matches with the amounts posted on the General Ledger.
Operations included are:
- Print the trial balance for the General Ledger
balances.
- Print the financial data logged by the logistical
modules.
- Check if the amounts match and the ledger accounts balance can
be accounted for.
- Investigate differences and make corrections, if
required.
- Indicate that the reconciliation process is finished so
logistical data necessary for reconciliation can be archived and/or
deleted.
Assumptions:
- One or more reconciliation groups set up to enable
reconciliation.
IT support:
- LN Financials, General Ledger
- One or more logistical LN modules