Procedures
Use the procedures in this section to view unreconciled Inter-Company transactions and calculate and create Inter-Company vouchers that appear in your Journals.
To use Inter-Company Reconciliation in the Month-End submodule, you must have access to Finance & Administration as defined in User Access Rights under Settings.
- Related Topics:
- Display Booked Vouchers
Use Inter-Company Reconciliation in the Month-End submodule to display booked vouchers. - Search for Vouchers
Use Inter-Company Reconciliation in the Month-End submodule to search for vouchers. - Calculate and Create Inter-Company Vouchers
Use Inter-Company Reconciliation in the Month-End submodule to calculate and create Inter-Company vouchers for the current owner Company and all vendor Companies. - Search for Job Owner Companies
Use Inter-Company Reconciliation in the Month-End submodule to search for job owner Companies. - Search for Vendor Companies
Use Inter-Company Reconciliation in the Month-End submodule to search for vendor Companies.
Parent Topic: Inter-Company Reconciliation