Part -I: Online Accounting: (For single entity)
DRAFT will create Journal Entries, which are NOT final, which means they are NOT ready to be transferred to GL.
XLA_EVENTS.process_status_code is 'D'
XLA_EVENTS.event_status_code is 'U'
XLA_EVENTS.process_status_code is 'P'
XLA_EVENTS.event_status_code is 'P'
It will post to gl_balances also (GL_JE_HEADERS.status is 'P').
Part -II: Create Accounting (Concurrent Program): (For more entities)
1. Accounting Mode: Draft
It is same as Draft online accounting.
2. Accounting Mode: Final, Transfer to GL: No
It is same as Final online accounting.
3. Accounting Mode: Final, Transfer to GL: Yes, Post to GL: No
XLA_EVENTS.process_status_code is 'P'
XLA_EVENTS.event_status_code is 'P'
GL_JE_HEADERS.status is 'U'.
4. Accounting Mode: Final, Transfer to GL: Yes, Post to GL: Yes
It is same as Final Post online accounting.
DRAFT will create Journal Entries, which are NOT final, which means they are NOT ready to be transferred to GL.
- You can see the accounting in XLA_AE_HEADERS and XLA_AE_LINES.
XLA_EVENTS.process_status_code is 'D'
XLA_EVENTS.event_status_code is 'U'
- You can run create accounting on this transaction again and again, which will delete the old journal entries and create new ones.
- You can't transfer these journal entries to GL.
FINAL will create journal entries, which can be transferred to GL.
XLA_EVENTS.process_status_code is 'P'
XLA_EVENTS.event_status_code is 'P'
- You can see the accounting in XLA_AE_HEADERS and XLA_AE_LINES.
XLA_EVENTS.process_status_code is 'P'
XLA_EVENTS.event_status_code is 'P'
- Once it is finally accounted you can NOT run create accounting on the particular transaction (specifically on that event).
- You can transfer them to GL using Transfer Journal Entries to GL program.
FINAL POST will create journal entries in Final Mode, Transfer them to GL and Post them.
- You can see the accounting in XLA_AE_HEADERS and XLA_AE_LINES.
XLA_EVENTS.process_status_code is 'P'
XLA_EVENTS.event_status_code is 'P'
- Once it is finally accounted you can NOT run create accounting on the particular transaction (specifically on that event).
- It will transfer the journal entries to GL using Journal Import and you can find the data in GL_JE_HEADERS and GL_JE_LINES.
It will post to gl_balances also (GL_JE_HEADERS.status is 'P').
Part -II: Create Accounting (Concurrent Program): (For more entities)
1. Accounting Mode: Draft
It is same as Draft online accounting.
2. Accounting Mode: Final, Transfer to GL: No
It is same as Final online accounting.
3. Accounting Mode: Final, Transfer to GL: Yes, Post to GL: No
- It will create journal entries in Final mode, transfer them to GL.
- You can see the accounting in XLA_AE_HEADERS and XLA_AE_LINES.
- Once it is finally accounted you can NOT run create accounting on the particular transaction (specifically on that event).
XLA_EVENTS.process_status_code is 'P'
XLA_EVENTS.event_status_code is 'P'
- It will transfer the journal entries to GL using Journal Import and you can find the data in GL_JE_HEADERS and GL_JE_LINES.
GL_JE_HEADERS.status is 'U'.
4. Accounting Mode: Final, Transfer to GL: Yes, Post to GL: Yes
It is same as Final Post online accounting.
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