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.
Field Information
- Series
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The series used to generate the document number of the matching transactions.
 - Transaction Entry Date
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The transaction entry date of the transaction.
 - Fiscal Period
 - 
            
The fiscal year.
 - Fiscal Period
 - 
            
The financial period.
 - Tax Period
 - 
            
The tax year.
 - Tax Period
 - 
            
The tax period.
 - Batch Reference
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The batch reference.
 - Post Differences
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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
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The ledger account to which the matching transaction will be posted.
 - Dimension 1
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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.