Financial Reconciliation Process in Oracle APPS
Posted: Mon Feb 22, 2010 9:07 am
Hi Folks,
we are implemented following modules.
A) Financials (GL,AP,AR,CM,FA and Treasury)
B) Supply chain( BOM, INV, PO,OM , and Cost Management)
C) Projects (Costing ,Billing)
D) HRMS (Payroll)
E) OPM(Financials and core modules)
F) CRM (Service Contracts)
could some one explain what are the steps to follow for reconcilliation process , i need a step by step process to reconcile the GL Vs SLA Balances.(Where to start and how to end the process)
Note:- Our SLA method is Encumbrance Accrual.
we are implemented following modules.
A) Financials (GL,AP,AR,CM,FA and Treasury)
B) Supply chain( BOM, INV, PO,OM , and Cost Management)
C) Projects (Costing ,Billing)
D) HRMS (Payroll)
E) OPM(Financials and core modules)
F) CRM (Service Contracts)
could some one explain what are the steps to follow for reconcilliation process , i need a step by step process to reconcile the GL Vs SLA Balances.(Where to start and how to end the process)
Note:- Our SLA method is Encumbrance Accrual.