About Posting ICT General Ledger Transactions

When you post a batch of General Ledger intercompany transactions (an "ICT G/L" batch), Intercompany Transactions performs the following procedures for each detail distribution line in each entry:

In summary:

Example: ICT General Ledger Batch Posting

Company A (the originator) enters a vendor invoice as a journal entry in an ICT G/L batch in the ICT company.

Note: The left column corresponds to the Originator field on the ICT Journal Entry screen. It indicates the company to which the detail belongs.

In this case, Company A wants to record the full credit amount in the Accounts Payable account, Expense 1 in the appropriate expense account, and Expense 2 in an intercompany loan account.

image\ICT_table_05.gif

When the ICT G/L batch is posted, ICT creates two new general ledger batches, one in Company A's database, and one in Company B's.

The batch created in Company A has the following details:

image\ICT_table_06.gif

The batch created in Company B has these details:

image\ICT_table_07.gif