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  • Title and Copyright Information
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  • 1 About This Guide
    • Audience and Scope
    • Related Guides
    • Change History
  • 2 Advanced Collections
    • Collector
  • 3 Assets
    • Asset Adjustments
    • Asset Categories
    • Asset Invoices
    • Asset Keys
    • Asset Leases
    • Assets Additions
    • Assets History
    • Book Controls
    • Book Summaries
    • Books
    • Calendar Periods
    • Calendar Types
    • Cash Generating Units
    • Category Book Defaults
    • Category Books
    • Ceiling Types
    • Deferred Depreciation Transactions Represented in Reporting Currencies
    • Deferred Depreciation
    • Depreciation Details
    • Depreciation Extracts
    • Depreciation Methods
    • Depreciation Periods
    • Depreciation Summaries
    • Distributions History
    • Fiscal Years
    • Impairment Details
    • Impairment Transactions in Reporting Currencies
    • Impairments
    • Lease Expense Details Represented in Reporting Currencies
    • Lease Expense Details
    • Lease Expense Summaries
    • Locations
    • Price Indexes
    • Prorate Convention Types
    • Reporting Adjustments
    • Reporting Asset Invoices
    • Reporting Book Controls
    • Reporting Books
    • Reporting Depreciation Details
    • Reporting Depreciation Periods
    • Reporting Depreciation Summaries
    • Reporting Lease Expense Summaries
    • Reporting Retirements
    • Retirements
    • Revaluation Transactions in Reporting Currencies
    • Revaluations
    • Transaction Extracts
    • Transaction Headers
    • Transaction References
    • Translated Table of the Asset Addition Extract
    • Translated Table of the Category Extract
  • 4 Budgetary Control
    • Budget Accounts
    • Budgetary Control Balances
    • Budgetary Control Budget Entries
    • Budgetary Control Budget Entry Details
    • Budgetary Control Budget Entry Lines
    • Budgetary Control Transactions
    • Budgetary Control Validation Process Data Sets
    • Budgetary Control Validation Transaction Lines
    • Budgetary Control Validation Transactions
    • Control Budgets
    • Period Statuses
  • 5 Cash Management
    • Bank Account Access
    • Bank Account Balances
    • Bank Account
    • Bank Statement Headers
    • Bank Statement Line Charges
    • Bank Statement Lines
    • Bank Statement Reconciliation Exceptions
    • Bank Statement Reconciliation Matching Rules
    • Bank Statement Reconciliation Tolerance Rules
    • Bank Statement Transaction Codes
    • External Cash Transactions
  • 6 Expenses
    • Expense Distributions
    • Expense Reports
    • Expense Templates
    • Expense Types
    • Expenses
  • 7 Financials Common Module
    • Business Functions
    • Business Unit Usages
    • Business Units
    • Translated Business Functions
  • 8 General Ledger
    • Accounting Calendar Periods
    • Accounting Period Types
    • Budget Balance
    • Calendars
    • Conversion Rate Types
    • Cross-Validation Combination Sets
    • Cross-Validation Combinations
    • Daily Balances
    • Daily Rates
    • Encumbrance Types
    • General Ledger Accounts
    • Journal Batch
    • Journal Categories
    • Journal Import References
    • Journal Line
    • Journal Lines Reconciliation
    • Journal Source
    • Journals
    • Ledger Balance
    • Ledger Configuration Details
    • Ledger Set Assignments
    • Ledgers
    • Legal Entity Balancing Segment Values
    • Period Statuses
    • Secondary Ledger Conversion Rules
    • Segment Value Column Flattened Hierarchies
    • Statistical Units of Measure
    • System Usages
    • Translated Encumbrance Types
    • Translated Journal Categories
    • Translated Journal Sources
  • 9 Lease Accounting
    • Asset Impairments
    • Lease Accounting Headers
    • Lease Accounting Lines
    • Lease Accrual Schedules Stage
    • Lease Accrual Schedules
    • Lease Assets
    • Lease Balances
    • Lease Details
    • Lease Discount Indexes
    • Lease Headers
    • Lease Increment Headers
    • Lease Increment Lines
    • Lease Increment Payments
    • Lease Increment Periods
    • Lease Liability Schedules Stage
    • Lease Liability Schedules
    • Lease Milestones
    • Lease Obligations
    • Lease Payment Headers
    • Lease Payment Items
    • Lease Payment Lines
    • Lease Properties
    • Lease Rights
    • Lease Schedule Headers
    • Lease System Options
    • Payment Increase Agreement Template
    • Payment Increase Indexes
    • Payment Templates
  • 10 Legal Entity Configurator
    • Legal Entities
    • Registrations
  • 11 Payables
    • Aging Period Lines
    • Aging Periods
    • Invoice Approval History
    • Invoice Distributions
    • Invoice Groups
    • Invoice Hold and Release Names
    • Invoice Holds
    • Invoice Installments
    • Invoice Lines
    • Invoice Payments
    • Payables Invoices
    • Payables Payments
    • Payment History Distributions
    • Payment History
    • Payment Terms Details
    • Payment Terms
    • Prepayment Application Distributions
    • Translated Payment Terms
  • 12 Receivables
    • Adjustment Approval Action History
    • Adjustment
    • Application Rule Set
    • AutoCash Hierarchy
    • AutoInvoice Grouping Rule
    • AutoMatch Rule Set
    • Balance Forward Bill
    • Cash Remittance Reference
    • Charge Schedule Header
    • Charge Schedule Line
    • Charge Schedule
    • Customer Profile Amount
    • Customer Profile Class
    • Customer Profile
    • Customer Receipt Method
    • Detailed Distributions
    • Distribution Set
    • Interest Header
    • Interest Line
    • Lockbox Transmission Format
    • Lockbox Transmission
    • Memo Line Translation
    • Memo Line
    • Miscellaneous Cash Distribution
    • Payment Schedule
    • Payment Terms Line
    • Payment Terms Translation
    • Payment Terms
    • Receipt Application Exception Rule
    • Receipt Batch
    • Receipt Distribution
    • Receipt Header
    • Receipt History
    • Receipt Method Account
    • Receipt Method
    • Receivable Application
    • Receivables Activity
    • Reference Account
    • Remit-to Address
    • Remit-to Location
    • Revenue Adjustment
    • Revenue Scheduling Rule
    • Sales Credit Type
    • Standard Text Translation
    • Statement Cycle
    • System Options
    • Transaction Batch
    • Transaction Distribution
    • Transaction Header
    • Transaction History
    • Transaction Line Revenue Deferral
    • Transaction Line
    • Transaction Source
    • Transaction Type
  • 13 Subledger Accounting
    • Accounting Class Assignments for the Post Accounting Programs
    • Accounting Methods
    • Event Classes
    • Event Types
    • Journal Line Rules
    • Ledger Assignments for the Post Accounting Programs
    • Post Accounting Programs
    • Subledger Accounting Events
    • Subledger Application
    • Subledger Journal Distribution Links
    • Subledger Journal Entry Headers
    • Subledger Journal Entry Lines
    • Subledger Mapping Set Input Sources
    • Subledger Mapping Set Values
    • Subledger Mapping Sets
    • Subledger Sources
    • Subledger Transaction Entities
    • Subledger Transaction Headers
    • Subledger Transaction Lines
    • Subledger Transaction Reversal Lines
    • Subleger Mapping Set Flavors
    • Supporting Reference Assignments in Journal Entry Rule Sets
    • Supporting Reference Balances
    • Supporting Reference Combinations
    • Supporting Reference Source Assignments
    • Supporting References
    • Translated Accounting Methods
    • Translated Event Classes
    • Translated Event Types
    • Translated Journal Line Rules
    • Translated Ledger Assignments for the Post Accounting Programs
    • Translated Post-Accounting Programs
    • Translated Subledger Application
    • Translated Subledger Mapping Sets
    • Translated Subledger Sources
    • Translated Supporting References
  • 14 Tax
    • Detailed Tax Lines
    • Summary Tax Lines
    • Tax Jurisdictions
    • Tax Rates
    • Tax Regimes
    • Tax Registrations
    • Tax Statuses
    • Transaction Taxes
    • Translated Tax Jurisdictions
    • Translated Tax Rates
    • Translated Tax Regimes
    • Translated Tax Statuses
    • Translated Transaction Taxes
    • Withholding Detailed Tax Lines
    • Withholding Summary Tax Lines
  • 15 Archived Accounting Data
    • Archived Journal Batch Audits
    • Archived Accounting Hub Transaction Split Details
    • Archived Control Balances
    • Archived Daily Balances
    • Archived General Ledger Balances
    • Archived Journal Audits
    • Archived Journal Batch Actions
    • Archived Journal Batches
    • Archived Journal Entry Segment Values
    • Archived Journal Import References
    • Archived Journal Line Audits
    • Archived Journal Lines Reconciliation
    • Archived Journal Lines
    • Archived Journals
    • Archived Subledger Accounting Events
    • Archived Subledger Journal Distribution Links
    • Archived Subledger Journal Entry Headers
    • Archived Subledger Journal Entry Lines
    • Archived Subledger Journal Entry Segment Values
    • Archived Subledger Multiperiod Distributions
    • Archived Subledger Transaction Entities
    • Archived Supporting Reference Balances