Consolidation reduces the amount of information in the general ledger batch, and results in a shorter G/L Transactions Listing.
Choose one of the following options:
Choose this option if you use optional fields and pass optional field information from I/C transaction details to the G/L transaction details.
Choose this option if you do not use optional fields, but still want to associate general ledger transactions with originating documents (for drilldown or to maintain a manual audit trail).
This option will consolidate details from different transactions if you create transaction batches using the I/C Create G/L Batch screen.
Note: The posting date for consolidated entries is the last date of the fiscal period.
For more information, see About Consolidating G/L Batches.
Specify when to create general ledger transactions:
During Posting or During Day End Processing. This option lets you create general ledger transactions during posting or when you run day end processing—depending on your I/C settings. More...
Manually Using I/C Create G/L Batch Screen. This option lets you create general ledger transactions at any time that's convenient for you. More...
Important! You can change this selection any time. However, if Manually Using I/C Create G/L Batch Screen is selected, print a copy of the latest G/L Transactions report and create any outstanding transactions (using the I/C Create G/L Batch screen) before changing the selection, to avoid accidentally omitting transactions from your general ledger batches.
Specify whether to add new general ledger transactions to new batches or create new batches and optionally post them automatically to the general ledger. More...
Displays the last Day End number generated.
This table contains the following columns that are used to create the source codes:
The source code for each transaction type is a combination of the source ledger code and the source type code. The source codes are used to identify transactions in General Ledger.
Note: If you change the source type for any source codes, the new source codes are automatically added to the General Ledger module, but you will have to update G/L source journal profiles to include transactions on source journals.
This tab displays the information to include in the description, reference, and comment fields in the general ledger transactions for each transaction type. You can assign one or more pieces of information (segments) to each field.
Note: If you change the settings on this tab, the new settings only apply to transactions posted after the change, and have no effect on transactions already in a general ledger batch.
For each detail transaction type, this column displays the comment information that will appear with unconsolidated details on the G/L Transactions report and in the general ledger batch.
To edit the information, click the Edit icon to the right of the field you want to change, and then make the changes on the G/L Integration Detail screen.
For each detail transaction type, this column displays the information that will appear with unconsolidated details in the Description column on the G/L Transactions report and in the Description field in the general ledger batch.
Note: If you consolidate details during posting, the description is "Consol. by I/C on date" for all the transactions in General Ledger unless there is only one of a particular transaction type.
To edit the information, click the Edit icon to the right of the field you want to change, and then make the changes on the G/L Integration Detail screen.
For each detail transaction type, this column displays the information that will appear with unconsolidated details in the Reference column on the G/L Transactions report and in the Reference field in the general ledger batch.
Note: If you consolidate details during posting, the reference is blank for all the transactions in General Ledger unless there is only one of a particular transaction type.
To edit the information, click the Edit icon to the right of the field you want to change, and then make the changes on the G/L Integration Detail screen.
For each entry transaction type, this column displays the information that will appear as the entry description on the G/L Transactions report and in the general ledger batch. This field is the main description for the General Ledger transaction, not the description on each detail line.
To edit the information, click the Edit icon to the right of the field you want to change, and then make the changes on the G/L Integration Detail screen.
This column shows the transaction types for which you can assign information for general ledger transactions.
To edit the information, click the Edit icon to the right of the field you want to change, and then make the changes on the G/L Integration Detail screen.
You use the I/C G/L Integration screen to select options and settings that determine how your Inventory Control ledger interacts with your general ledger.
Use this tab to control how and when GL transactions are created: More...
Use this tab to specify the information to use in the description, reference, and comment fields in the general ledger transactions. More...