Creating Batches of General Ledger Transactions in Accounts Receivable

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A/R Create G/L Batch Screen

Important! You use the A/R Create G/L Batch screen to create general ledger batches only if Accounts Receivable does not create them during posting, as specified on the A/R G/L Integration screen.

You use the A/R Create G/L Batch screen to create batches of general ledger transactions from the invoice, receipt, refund, and adjustment batches you post in Accounts Receivable.

If you use multicurrency accounting, you also use this screen to produce general ledger batches for transactions created using the Revaluation screen.

You must create all outstanding general ledger batches before you can clear posting journals or use the A/R Year End screen.

To create G/L batches:

  1. Open Accounts Receivable > Periodic Processing > Create G/L Batch.

  2. Select the types of posted batches from which to create transactions.

    You can create a general ledger batch that includes transactions from invoice batches, receipt batches, adjustment batches, refund batches, and revaluation batches.

  3. Select the posting sequence number through which to create transactions for each batch type.
  4. Click Process.

    If you use Sage 300 General Ledger, Accounts Receivable either adds the new transactions to existing General Ledger batches or creates new batches, depending on your choice for the Create G/L Batches By option on the A/R G/L Integration screen.

    If you do not use Sage 300 General Ledger, you see a message asking whether to append transactions to an existing batch file or to overwrite the file.