Post Reconciliation Corrections (tfgld4295m300)
Use this session to post reconciliation corrections.
Posted corrections automatically receive their acceptance status based on the Automatically Accept Reconciliation Data/ Automatically Finally Accept Reconciliation Data setting in the Reconciliation Groups (tcfin0120m000) session.
Field Information
-
-
- Reconciliation Area
-
The reconciliation area of the reconciliation group for which you created the correction.
- Reconciliation Subarea
-
The reconciliation subarea of the reconciliation group for which you created the correction.
- Fiscal Period
-
The fiscal year and period to which the correction transaction is posted.
-
- Select Specific Business Object
-
To only post the correction that you created for one business object ID or a range of business object IDs, select this check box.
- Business Object
-
The type of business object for which you want to post the correction.
- Business Object ID
-
The From and To fields define the range of business object IDs for which you want to post the correction.
-
- Select Specific Correction
-
To only post one type of correction, select this check box.
- Kind of Correction
-
The type of correction to be posted.
-
- Simulate
-
If this check box is selected, LN checks the conditions for posting the correction transaction but does not actually perform the posting.
You can select this check box to obtain a process report.
- Process Report
-
If this check box is selected, LN prints a detailed report of the generated transactions.
-
- Batch
-
The batch number. You must finalize the batch in the Global Selection of Batches for Finalization (tfgld1210m000) session.
- Document
-
The transaction type used for the correction transaction. This is part of the financial document.
- Document
-
The financial document number.
-
-
-
- Finance Company
-
The financial company to which the corrections are posted.
- Transaction Series
-
The number of the financial document.
- Contra Account
-
The ledger account to which the other side of the correction transaction must be posted.
- Fiscal Period
-
The fiscal year and period to which the correction transaction is posted.
- Reporting Year
-
The reporting year and period to which the correction transaction is posted.
- Tax Period
-
The tax year and period to which the correction transaction is posted.
- Batch Reference
-
If you wish, you can enter a batch reference to recognize the batch in other sessions.
- Transaction Reference
-
If you wish, you can enter a transaction reference to recognize the transaction in other sessions.
-