应计注销-AP和PO的操作指引

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应计注销操作指引解决方案:应计注销主要解决以下问题:1,一些发票匹配后,应计负债还有一些尾数需要处理2,有些发票匹配时没有与PO接收关联,也需要对这些进行注销。步骤:1)CompleteReceiptTransactionsandInvoicematching.2)RuntheCreateAccountingPrograminFinalModewithsubsequentTransferofEntriestoGL3)RuntheAccrualReconciliationLoadProgramwhichwillpopulatetwoTables:CST_RECONCILIATION_SUMMARYandCST_AP_PO_RECONCILIATION4)RuntheAPandPOAccrualReconciliationReportTheDetailVersionoftheReportwillshowaccrualaccountforeachPOdistributionwiththeReceivingtransactionamountandinvoicetransactionamountwithanetbalancegreaterthanzero.5)PerformAccrualWrite-offOncetheaccrualentriesforthePOorinvoiceareshowninAPandPOlReconciliationReport,AccrualWrite-offcanbedoneusingCostManagementorPurchasingresponsibilityAccountingAccrualwriteoffsAPandPO.ThiswilldeletetheaccrualentryfromCST_AP_PO_RECONCILIATIONtableandpopulatethewriteofftransactioninCST_WRITE_OFFStable.ThiswriteofftransactioncanalsobeviewedintheformViewWriteoffs.InordertocreateaccountingentriesforthewriteoffsinSLAandGLforsubmittheCreateAccountingprogramaftercompletingthewriteoffsintheAccrualWriteOffForm.TheWriteOffTransactionscanbeviewedinSLAmenubynavigatingtoToolsViewAccountingintheViewWriteoffsform.一定义应计帐户科目二运行请求:应计调节导入运行三查看数据查看会计科目:查看GL日记帐分录:应计注销后,再运行系统报表:注销前的报表汇总显示:应计注销后运行的汇总报表结果:批量处理应计注销操作:查看结果:运行CUX.应计明细余额明细,检查是否显示应计注销:另外查看外币会计分录:查看USD的应计注销的日记帐:检查发现,客户化CUX.应计负债余额明细报表仍显示应计尾差,实际是应计注销了!问题:与应计取数有关的客户化报表或程序,都需要修改程序,增加取应计注销表的数据!应计注销主要表:--select*fromapps.CST_RECONCILIATION_SUMMARYTWHERET.PO_DISTRIBUTION_IDIN(76912,76911)--select*fromapps.CST_AP_PO_RECONCILIATIONTWHERET.PO_DISTRIBUTION_IDIN(76912,76911)--select*fromapps.CST_WRITE_OFFS

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