Creating a Batch of General Ledger Transactions in Order Entry
You use the O/E Create Batch screen to create General Ledger batches if you do not automatically create G/L transactions when you post transactions or when you run Day End Processing.
- On the O/E G/L Integration screen, select options for creating and posting General Ledger batches.
- Run I/C Day End Processing to complete processing and update Order Entry and Inventory Control data.
- Print the O/E G/L Transactions report and file it with your audit trail reports.
To create a batch of General Ledger transactions:
- Order Entry > Periodic Processing > Create Batch.
The O/E Create Batch screen appears. The Create G/L Batch Through Day End Number option is selected by default.
- Specify the range of day-end numbers for which to create General Ledger transactions. (You create the transactions for all outstanding day-end numbers up to and including the number you specify.)
- If you also want to post invoice transactions created by Order Entry in Accounts Receivable, select the Post A/R Batch option.
- Click Process.
If your system does not post General Ledger batches automatically, post the General Ledger batches you have created.
Order Entry automatically posts the batch in General Ledger if you selected Create G/L Transactions by Creating and Posting a New Batch on the O/E G/L Integration screen.