Wednesday 11 September 2013

Cash Management Reconciliation

1) Run the program- Bank Statement Loader to load data in following Open Interface tables

CE_STATEMENT_HEADERS_INT_ALL (Stores Information about bank statement Header details)
CE_STATEMENT_LINES_INTERFACE (Stores Information about bank statement Line details)

2) Run the program- Bank Statement Import to load data in following Base tables from Interface tables.

CE_STATEMENT_HEADERS
CE_STATEMENT_LINES

3) Error information is stored in following tables while running Bank Statement Import

CE_HEADER_INTERFACE_ERRORS
CE_LINE_INTERFACE_ERRORS

4) Run the program- AutoReconciliation which in turn calls AutoReconciliation Execution Report (CEXINERR)
(AutoReconciliation --> CE_AUTO_BANK_REC.statement --> CE_AUTO_BANK_MATCH.match_process)

5) Error information is stored in following table while running AutoReconciliation Program

CE_RECONCILIATION_ERRORS

6) Reconciliation history or audit trail is stored in table- CE_STATEMENT_RECONCILS_ALL. Each row represents an action performed against a statement line.

7) Transactions from all the views below are consolidated into CE_AVAILABLE_TRANSACTIONS_V for bank statement reconcillation

CE_101_TRANSACTIONS_V -- GL journal entry lines

CE_185_TRANSACTIONS_V -- Treasury Transactions

CE_200_TRANSACTIONS_V -- AP payments

CE_222_TRANSACTIONS_V -- AR cash receipts

CE_260_TRANSACTIONS_V -- Bank statement lines available for reconciling bank errors

CE_801_TRANSACTIONS_V -- Payroll payments

1 comment:

  1. Whenever looking to be able to exchange insurance, It truly is confusing Just as in order to what company is the Simplest in order to buy your insurance from. no matter whether That isn't bad enough, anyone furthermore be asked to decide no matter if to be able to buy the insurance from the insurance broker as well as a great insurance company. insurance agents directory

    ReplyDelete