Setting Up Period End Accruals
Follow these steps to set up period end accruals:
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Set up a journal generator template.
When implementing period end accruals for PeopleSoft Expenses, a new journal generator template needs to be created to process period end accrual transactions for expenses. The Expenses Period End Accrual (EX_PACCRUE) journal template is available and is defined for the SHARE SetID.
See Application Fundamentals: Journal Generator Template - Defaults Page.
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Set up the business unit to processes period end accruals.
Select the type of expense transactions to be processed for the business unit on the Expenses Definition - Business Unit 1 Page.
Select EX_PACCRUE, or the journal generator template that you created for period end accrual processing, in the Period End Accruals field on the Business Unit 2 page .
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Set up period end accrual options for the SetID on the Period End Accrual Options - Document page.