Use this function to export a pre-consolidated balance to be integrated into a financial reporting application. This function exports data from the Pre-consolidated balances (BALPRECSL) table and can be run in batch mode.

This function only applies to legal companies and ledgers with consolidation management selected.

The flow and partner correspond to those posted in accounting.

The pre-consolidated balance only contains data for the ledgers (manual or automatic) with consolidation management. 

If the ledger is general only, the pre-consolidation balance only contains general records (Dimension ID IDTCCE equals 0).

If the ledger is analytical only, the pre-consolidation balance only contains analytical records (Dimension ID is not equal to 0).

If the ledger is general and analytical, the pre-consolidation balance contains general records (Dimension ID equals 0) and analytical records (Dimension ID is not equal to 0).

Period 0 contains the carry-forward record when updated by the fiscal year end simulation process (FIYEND) or in real time when the FRWGAC – General balance year-end simulation and FRWANA – Analytical year-end balance simulation parameters are set to Yes.

The amounts are saved at the site level and noncumulative amounts are stored at company level.

Two parameters, defined at the company level, define the export template information to be used.

CSLEXP - Export template parameter (CPT chapter, CSL group) is used if no dimension details are requested.

CSLEXPANA – Export template (CPT chapter, CSL group) is used if dimension details are requested.

You can modify the standard template.

Prerequisites

SEEREFERTTO Refer to documentation Implementation

Screen management

Entry screen

Batch task

This function can be run in batch mode. The standard task CSLEXP is provided for that purpose.

Error messages

The only error messages are the generic ones.

Tables used

SEEREFERTTO Refer to documentation Implementation