Project Cost Account Reconciliation Dashboard
The Project Cost Account Reconciliation dashboard displays the expenditure items that are posted to the selected GL accounts. This dashboard helps to reconcile account balance discrepancies between Oracle General Ledger and Oracle Project Costing.
The dashboard uses the Project Costing - Actual Costs Real Time subject area.
The dashboard consists of the Project Cost Account Reconciliation analysis.
Key Insights
This dashboard answers the following business question:
-
How can I view project cost reconciliation with GL accounts and investigate reconciliation issues?
Frequently Asked Questions
The following table lists the frequently asked questions about this dashboard.
FAQ |
Answer |
---|---|
How do I find this dashboard? |
Reports and Analytics pane - Shared Folders - Projects - Project Financials Sample Reports |
Who uses this dashboard? |
|
When do I use this dashboard? |
When account balance discrepancies exist between General Ledger and Project Costing. |
What can I do with this dashboard? |
You can view specific or financially material transactions by:
|
What type of dashboard is this? |
Oracle Transactional Business Intelligence |
Details
The following table lists the prompts and filters used in the dashboard.
Column |
Type |
Rules |
---|---|---|
Ledger Name |
Dashboard prompt |
|
Accounting Period |
Dashboard prompt |
|
Account |
Dashboard prompt |
|
Accounting Class |
Dashboard prompt |
|
Event Class |
Dashboard prompt |
|
Project Number |
Dashboard prompt |
|
Task Number |
Dashboard prompt |
|
Transaction Number |
Dashboard prompt |
|
Debit Amount |
Dashboard prompt |
Is between text field |
Credit Amount |
Dashboard prompt |
Is between text field |
The following table lists the views in the Project Cost Account Reconciliation analysis.
View |
Displayed Information |
---|---|
View Name |
Project Cost Account Reconciliation |
View Sections |
None |
Table Column and Measures |
|