Hello, i want to load payments from flat file. and as you konw there is not any interface for payments.i want to now wich function pakage i will used. i used function below but no row inserted in iby_payments_all and no events is generated.can any one help me.
ap_checks_pkg.insert_row
ap_pay ...
Search found 2 matches
- Wed Jul 11, 2012 2:06 pm
- Forum: Financials (GL, AP, AR, FA & CM)
- Topic: load payments
- Replies: 0
- Views: 2920
- Thu Jun 28, 2012 8:50 am
- Forum: Financials (GL, AP, AR, FA & CM)
- Topic: reconciliation between AP and GL
- Replies: 1
- Views: 2351
reconciliation between AP and GL
Hello everybody,
I have diffrence between two accrual account (inventory&expense) in trail balance GL and the invoice register plus Uninvoiced receipt.
how i can reconcile this account is there any condition to do that.like the time of close the period AP,PO and GL. or the report parameter.
Help me ...
I have diffrence between two accrual account (inventory&expense) in trail balance GL and the invoice register plus Uninvoiced receipt.
how i can reconcile this account is there any condition to do that.like the time of close the period AP,PO and GL. or the report parameter.
Help me ...