New Tutorials

Two new tutorials are now available:

Group Attributes for Transaction Matching

In this tutorial, you learn how to create a group attribute, assign a group attribute to a data source, and import transactions to a data source with group attributes in Transaction Matching.

Managing Account Reconciliation balance load

In this tutorial, you learn how to import balances with data integration and load them into Account Reconciliation. You begin with reviewing the target application, period and category mappings. Then you create an integration and import balances into Account Reconciliation. Finally, you review profiles and create reconciliations.

Business Benefit: Tutorials provide instructions with sequenced videos and documentation to help you learn a topic.