Intercompany Transactions
Intercompany Transactions lets you enter General Ledger and
Accounts Payable transactions that affect more than one company by
automatically distributing transactions across two or more companies.
In addition, its built-in flexibility automatically generates intercompany
loan account entries according to user-defined relationship tables
called routes. Intercompany Transactions simplifies and significantly
reduces the amount of work required for intercompany accounting.
Intercompany Transactions Capabilities
- Process intercompany General Ledger journal entries and intercompany
Accounts Payable invoices, debit notes, and credit notes.
- Create an unlimited number of routes to define relationships
between companies, including multilevel routes.
- Automatically make loan account entries for intercompany
transactions and distribute invoices to as many General Ledger
accounts as required by defining distribution sets.
- Fully integrate with Tax Services to handle tax computations
for expensed, allocated, or recoverable taxes.
- Enter transaction references and descriptions to provide a detailed
audit trail for reconciliation purposes.
- Print an intercompany loan account reconciliation report to identify
loan accounts that do not agree.
- Process multicurrency transactions in Intercompany Transactions,
General Ledger, and Accounts Payable.
- Distribute transactions to companies with differing functional
currencies.
- Create routes with originating companies, intermediate companies, and
destination companies having different functional currencies.
- Process multicurrency transactions for multicurrency or single-currency
intermediate and destination companies.
Standard Reports
- Invoice Batch Listing
- Invoice Batch Status
- Loan Account Reconciliation
- Route Listing Report
- Unposted Invoice Batches
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