Hi,
What can be the best way to autoreconcile the Cash deposits into the bank.
Customer is a tolling agency and received lot of toll receipts for a day. All the receipts are entered in a third party application and interfaced to AR as a single receipt, because the total receipt is deposited into ...
Search found 44 matches
- Mon Nov 23, 2015 10:01 pm
- Forum: Financials (GL, AP, AR, FA & CM)
- Topic: Cash Deposit and Autoreconciliation
- Replies: 1
- Views: 7021
- Wed Jul 27, 2011 6:53 am
- Forum: Financials (GL, AP, AR, FA & CM)
- Topic: EB Tax- Tax rules
- Replies: 0
- Views: 1367
EB Tax- Tax rules
Hi,
I need to know with the help of tax rules, can I distinguish between two suppliers?
We can have just one tax in EB Tax and have multiple statuses/rates. Now in 11i, we could have defined as many tax codes as required and associate it with the supplier site. This doesnt work in EB Tax as only ...
I need to know with the help of tax rules, can I distinguish between two suppliers?
We can have just one tax in EB Tax and have multiple statuses/rates. Now in 11i, we could have defined as many tax codes as required and associate it with the supplier site. This doesnt work in EB Tax as only ...
- Thu Jul 21, 2011 4:02 am
- Forum: Financials (GL, AP, AR, FA & CM)
- Topic: EB Tax- Post upgrade
- Replies: 0
- Views: 1138
EB Tax- Post upgrade
Hi,
We upgraded from 11.5.10.2 to R12.1.2.
Till now we were using the upgraded regime (STCC). Now we have shifted the configuration owner options to point to the regime determination set ( to use the new tax logic).
My question is, do we need to create new taxes post this switch? Can I reuse the ...
We upgraded from 11.5.10.2 to R12.1.2.
Till now we were using the upgraded regime (STCC). Now we have shifted the configuration owner options to point to the regime determination set ( to use the new tax logic).
My question is, do we need to create new taxes post this switch? Can I reuse the ...
- Wed Dec 22, 2010 6:13 am
- Forum: Financials (GL, AP, AR, FA & CM)
- Topic: 12.1.2 upgrade- Invoice Validation ends in warning
- Replies: 1
- Views: 2358
12.1.2 upgrade- Invoice Validation ends in warning
Hi,
We are in the process of upgrade to 12.1.2 from 11.5.10.2.
There are many invoices which are on hold in the 11i. After upgrade, when invoice validation is run it completes warning. Its checking for the old data which is on hold and flagging error against them. In 11i when we run it it just goes ...
We are in the process of upgrade to 12.1.2 from 11.5.10.2.
There are many invoices which are on hold in the 11i. After upgrade, when invoice validation is run it completes warning. Its checking for the old data which is on hold and flagging error against them. In 11i when we run it it just goes ...
- Wed Aug 18, 2010 10:47 am
- Forum: Financials (GL, AP, AR, FA & CM)
- Topic: Intracompany relationship Definition
- Replies: 0
- Views: 2367
Intracompany relationship Definition
Hi Folks,
Please let me know if there is a better way of loading the intra company relationships in R12?
We have around 40+ balancing segments and have more than 1000 rules. Doing it manually (given that dataloader wont work as its an html page) would be a huge task.
Any help here is highly ...
Please let me know if there is a better way of loading the intra company relationships in R12?
We have around 40+ balancing segments and have more than 1000 rules. Doing it manually (given that dataloader wont work as its an html page) would be a huge task.
Any help here is highly ...
- Wed Aug 18, 2010 9:00 am
- Forum: Financials (GL, AP, AR, FA & CM)
- Topic: ERROR during budget definition in 11i
- Replies: 2
- Views: 3094
- Wed Aug 18, 2010 8:45 am
- Forum: Financials (GL, AP, AR, FA & CM)
- Topic: How Can we Achive Over Draft Functionality
- Replies: 3
- Views: 2031
Hi Nadh,
Please let me know what exact functionality you are looking for with Overdraft.
If its just a type of bank account wherein the bank gives you a facility to over draw your funds, thats something we can map with a standard bank account. Supply a liability account and just let it be like that ...
Please let me know what exact functionality you are looking for with Overdraft.
If its just a type of bank account wherein the bank gives you a facility to over draw your funds, thats something we can map with a standard bank account. Supply a liability account and just let it be like that ...
- Mon Jul 13, 2009 1:06 pm
- Forum: Financials (GL, AP, AR, FA & CM)
- Topic: GL data in Cash Forecast
- Replies: 1
- Views: 2156
- Mon Jul 13, 2009 11:12 am
- Forum: Financials (GL, AP, AR, FA & CM)
- Topic: R12- Standard Cash Method not hitting cash clg a/c
- Replies: 3
- Views: 1985
R12- Standard Cash Method not hitting cash clg a/c
Hi Folks,
The reconciliation accounting (we have 'account for payment when payment clears and issued' enabled) is not happening correctly. It says online accounting can not be done and when we run the program create accounting it completes warning. The error being the standard cash accounting ...
The reconciliation accounting (we have 'account for payment when payment clears and issued' enabled) is not happening correctly. It says online accounting can not be done and when we run the program create accounting it completes warning. The error being the standard cash accounting ...
- Sun Jul 12, 2009 3:01 am
- Forum: Financials (GL, AP, AR, FA & CM)
- Topic: R12-Unbalanced accounting entries in AP Payments
- Replies: 0
- Views: 986
R12-Unbalanced accounting entries in AP Payments
Hi,
When we make a payment, the cash account is not credited to the exact value of the liability account, even though there is no exchange rate variation is involved. For example, for few payments it debits say 100.10 USD and credits the cash account with 100.09 USD. This leaves the journal ...
When we make a payment, the cash account is not credited to the exact value of the liability account, even though there is no exchange rate variation is involved. For example, for few payments it debits say 100.10 USD and credits the cash account with 100.09 USD. This leaves the journal ...
- Sun Apr 19, 2009 6:12 am
- Forum: Financials (GL, AP, AR, FA & CM)
- Topic: Budgets to be compared to cash - R12
- Replies: 0
- Views: 773
Budgets to be compared to cash - R12
Hi,
We have a requirement wherein we need to compare the budget figures with the actual cash spent. We are using accrual system of accounting. We have enabled the budgetary control.
We tried to use a secondary ledger with the accounting method as encumbrance cash.
Now when a PO is raised, it will ...
We have a requirement wherein we need to compare the budget figures with the actual cash spent. We are using accrual system of accounting. We have enabled the budgetary control.
We tried to use a secondary ledger with the accounting method as encumbrance cash.
Now when a PO is raised, it will ...
- Sun Mar 29, 2009 3:14 am
- Forum: Financials (GL, AP, AR, FA & CM)
- Topic: Fixed Asset Issue Pls help - urgent
- Replies: 4
- Views: 1831
- Sun Mar 29, 2009 3:11 am
- Forum: Financials (GL, AP, AR, FA & CM)
- Topic: Creating Bank Account
- Replies: 2
- Views: 2407
- Wed Mar 25, 2009 2:27 am
- Forum: Financials (GL, AP, AR, FA & CM)
- Topic: Secondary ledger
- Replies: 6
- Views: 3605
Yes. Generally I have seen encumbrance being used by companies with accrual system of accounting. When you are using cash, anyways the accruals will be ignored, and encumbrance involves accruals. So I got confused. But its okay, you can do that. Be careful with the setup of the cash ledger. You can ...
- Mon Mar 23, 2009 10:31 am
- Forum: Financials (GL, AP, AR, FA & CM)
- Topic: Secondary ledger
- Replies: 6
- Views: 3605