Updating Ledger Balances
You can use Ledger Balance Management (LBM) to refresh or reconstruct the ledger balances that you have configured using Ledger Balance Configuration (LBC), and to republish them if your system is set up to do so. Ledger Balance Management (LBM) allows you to refresh or reconstruct balances for multiple business units in one batch.
You can also set up Transfer Desk to automate the balance refresh and publication.
If you are publishing balance data to a downstream system via ION, the business object document (BOD) used to publish the data on ION is the SSGLMovement BOD.