To perform a reconciliation:
Account ID—The account ID per the profile definition.
Name—The account name per the profile definition.
Description—The account description from the profile definition.
Period Name—The period to which the reconciliation pertains.
Status—Identifies the status of the reconciliation. Values include: Pending, Open (with Preparer, Reviewer 1, Reviewer 2, ...), or Closed.
Start Date—The start date of the reconciliation (the first date the preparer can begin working on the reconciliation).
End Date—The final end date of the reconciliation (the due date of the final role assigned to the reconciliation).
Organizational Unit—Represents a hierarchical entity-type structure that you can use to model your organization. Define a separate organizational unit for each entity for which separate reporting is required, or for entities that require different configurations for any of the following: holidays, work days, or viewer or commentator assignments. Organizational Units are defined in system settings.
Process—The process per the profile definition.
Account Type—The account type per the profile definition.
Normal Balance—The normal balance per the profile definition; identifies whether the reconciliation is expected to contain a debit balance, a credit balance, or a debit or a credit balance. If the balance violates the normal balance, then a warning is set on the reconciliation.
Risk Rating—The risk rating per the profile definition.
Format—The format per the profile definition.
Method—Account Analysis or Balance Comparison