Create GL Account Matching Transactions - Manually (tfgld1217m000)

Use this session to manually create a matching transaction.

You can start this session from the GL Account Matching - Manually (tfgld1516m000) session.

 

Series

The series used to generate the document number of the matching transactions.

Transaction Entry Date

The transaction entry date of the transaction.

Fiscal Period

The fiscal year.

Fiscal Period
Reporting Period

The reporting period.

Tax Period

The tax year.

Tax Period

The tax period.

Batch Reference

The batch reference.

Post Differences

If this check box is selected, if small remaining difference amounts in the home currencies occur after the matching, LN generates a separate transaction to post the difference amounts to the matching account.

Ledger Account

The ledger account to which the matching transaction will be posted.

Dimension

The dimension to which the matching transaction will be posted.

Batch

The batch number.

Transaction Type

The transaction type of the matching transaction.

Matching Reference

The matching reference of the matching transaction.