Account Matching (tfgld1550m000)
Use this session to match transactions of a ledger account manually. If required, you can add transactions to an existing set of matched transactions.
To match two or more transactions, take the following steps:
- Select the transactions to be matched. You can match two or more transactions.
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On the appropriate menu, click one of the following commands:
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For each match LN creates a matching transaction in the Matched Transactions (tfgld1551m000) session.
- To perform account matching, you must be listed in the Account Matching Users (tfgld1152m000) session. In this session, a user's authorization is defined by an account matching authorization scheme and a ledger account matching scheme.
- During account matching, LN does not check whether specific transactions can be matched. Instead, LN performs this check when the resulting matching transactions are approved.
- To match transactions automatically, use the Match Transactions Automatically (tfgld1250m000) session.
Field Information
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- Ledger Account
- Year/Period
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fiscal year
- Year/Period
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- Amount in Invoice Currency
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The amount in the invoice currency.
- Ledger Balance
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The balance of the ledger account.
- Unmatched Balance
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The balance of unmatched transactions.
- Unmatched Balance
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The total number of unmatched transactions.
- Matched Balance
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The balance of matched transactions.
- Matched Balance
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The total number of matched transactions.
- Approved Balance
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The balance of approved transactions.
- Approved Balance
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The total number of approved transactions.
- Processed Balance
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The balance of processed transactions.
- Processed Balance
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The total number of processed transactions.
- Non-Finalized Transactions
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If this check box is selected, the amounts of non-finalized transactions are included in the balance amounts.
- Transaction Reference
- Document
- Document
- Line
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The document line number of the transaction.
- Sequence Number
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The sequence number of the document.
- Background Sequence No.
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Background sequence number.
- Document Date
- Debit Amount in HC
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The debit amount in the home currency.
- Credit Amount in HC
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The credit amount in the home currency.
- Transaction Amount
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The transaction amount.
- Currency
- Select by Tax Period
- Matching Code
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- Correction Document
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If a correction transaction was created, this field shows the transaction type part of the correction document number.
- Correction Document Number
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If a correction transaction was created, this field shows the correction document number.
- Reference
- Amount in Home Currency
- Amount in Home Currency
- Tax Country
- Tax Code
- Transaction Category
- Matched
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If this check box is selected, the transaction was matched.
- Approved
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If this check box is selected, the transaction was approved.
- Processed
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If this check box is selected, the transaction was processed.
- Finalized
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If this check box is selected, the transaction was finalized.
- Fiscal Year
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fiscal year
- Fiscal Period
- Business Partner
- Matched in Fiscal Year
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The fiscal year in which the status change occurred.
- Matched/Approved /Processed in Fiscal Period
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The Financial period in which the status change occurred.
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- Cash Flow Reason
- Reconciliation Area
- Reconciliation Subarea
- Integration Account
- Dimension 1