|
yiwenvtech 发表于 2013-9-18 10:11 ![]()
不同模块有不同的,如payable传总账的过程'Payables Transfer to General Ledger'可以设定参数'Transfer ...
for R12:
5. What is the setup option that determines if transfer to GL is in detail or summarised mode?
There are two variables that determine how the data is transferred to GL from the subledger tables XLA_AE_HEADERS and XLA_AE_LINES. These setups determine whether accounting data from across multiple transactions in the subledger will be merged or not merged while inserting into rows in the GL_JE_HEADERS and GL_JE_LINES tables.
a) Subledger Accounting Options
Navigation: Accounting Setups : Ledger Setup : Define : Accounting Setups
Choose the ledger
Click on "Update Accounting Options"
Scroll to Subledger Accounting Options in the Primary Ledger section
Click on Update Icon
Click on Update Icon against the Application to be setup(Example: Payables)
Field: General Ledger Journal Entry Summarization
This can be set to ONE of the following:
Summarize by GL Period
Summarize by GL Date
No Summarization
This setup determines if the accounting header is summarized or not.
b) Journal Line Types
Navigation: Accounting Setups : Subledger Accounting Setup : Accounting Methods Builder : Journal
Entry Setups
Form :"Define Journal Line Types"
Field: Transfer to GL
This can be set to Summary or Detail
This setup determines if the accounting lines in XLA_AE_LINES are summarized during transfer to GL.
|
|