This part contains these chapters:
Chapter 26, "Overview to Multi-Site Consolidations"
Chapter 27, "Define Multi-Site Consolidations"
Chapter 28, "Account Structure Build Report"
Chapter 29, "Revise Account Structures"
Chapter 30, "Define Multi-Site Consolidation Rules"
Chapter 31, "Consolidate Multi-Site Information"
Chapter 32, "Build Multi-Site Transfer File (P10550)"
Chapter 33, "Work with Consolidation File Control"
Chapter 34, "Run Integrity Reports"
Chapter 35, "Send Consolidated Balances"
Chapter 36, "Generate and Process Batch Journal Entries"
Chapter 37, "Journalize Consolidation Reports"
Chapter 38, "Work with Multi-Site Batch Journal Entries"
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