This utility is used to carry out a group of checks on the balances:
Refer to documentation Implementation
Presentation
The balance recovery is made by company and for a given fiscal year. It is possible to limit the selection of the amounts to be processed using a set of criteria (site, currency, account).
The following checks are carried out once the utility is launched and according to the selected option:
In particular, the controls and resynchronizations (if the option is selected) are as follows:
The processing is based on these amounts for the recovery.
Example: if a company managed with EUR is specified and the control is carried for the EUR, the verification will be carried out on AMTLOC. If the verification is made in USD and the folder is set up with the reporting currency USD the process is based on AMTRPT. In all other cases it will be based on AMTLOC.
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Fields
The following fields are present on this tab :
Criteria
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This function can be run in batch mode. The standard task ACCRECBAL is provided for that purpose.